(10 of 20) Ch.13 - Calculation of expected return, variance, & st. dev. for a 2-stock portfolio

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  • Опубликовано: 7 ноя 2019

Комментарии • 6

  • @tristyribeiro1094
    @tristyribeiro1094 4 месяца назад

    UR THE FIRST PERSON TO ACTUALLY EXPLAIN EVERYTHING IN DETAIL SO WELL

  • @kuhubanik1532
    @kuhubanik1532 2 месяца назад

    I m from Bangladesh......Ur teaching methods excellent 👌👌
    After 7 days my final exam.
    Now I see your vedio.

  • @tuanduyhuynh3273
    @tuanduyhuynh3273 2 года назад +1

    I understood it. Thank you so much 🥰

  • @keziahbk909
    @keziahbk909 2 года назад

    Thanks so much i understood so well

  • @Gumiweunoia
    @Gumiweunoia Год назад

    thank you so much

  • @user-jf2cg3mw5z
    @user-jf2cg3mw5z Год назад

    Yes i like it