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2 Asset Portfolio Calculator
2 Asset Portfolio Calculator
Maya Lin-Takahashi••1 min read
Comprehensive coverage of 2 Asset Portfolio Calculator, offering readers the most relevant details.
The following practice problem has been generated for you: Asset 1 makes up 31% of a portfolio and has an expected return (mean) of 22% and volatility (standard deviation) of 8%. Asset 2 makes up 69% of a portfolio has an expected return (mean) of 30% and volatility (standard deviation) of 7%. With a covariance of 14%, calculate the expected return, variance, and standard deviation of the portfolio
Maya is a hardware enthusiast who tests and reviews smart home devices, smartphones, wearables, and audio gear. She focuses on practical consumer value and build quality.