As an investor you are considering investment in different stocks which have same level of risk and expected returns. Lets suppose three stocks namely Apple, Microsoft, and Tesla, lets
suppose the correlation among Apple and Microsoft is +0.60, Apple and Tesla is +0.2 and Tesla and Microsoft correlation is +0.90. Based on this information a portofilo conisting of which of the two stocks would have the lowest risk? Explain
As an investor you are considering investment in different stocks which have same level of risk and expected returns. Le
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