What is the standard deviation of return on the risk-free asset? Also, what is the correlation coefficient between the O
Posted: Thu Dec 23, 2021 8:29 am
What is the standard deviation of return on the risk-free
asset?
Also, what is the correlation coefficient between the Optimal
Risky Portfolio return and the risk-free rate?
asset?
Also, what is the correlation coefficient between the Optimal
Risky Portfolio return and the risk-free rate?