Business Finance Online

Two Asset Portfolio Calculator


Two Asset Portfolio Calculator
  Stock 1 Stock 2
Expected Return: % %
Standard Deviation: % %

Correlation Coefficient:

Weight 1

Expected
Return

Variance Standard
Deviation
% % %
% % %
% % %
% % %
% % %
% % %
% % %
% % %
% % %
% % %
% % %


For assistance in using the calculator see the Two Asset Portfolio Calculator: Introduction.

 

© 2002 - 2010 by Mark A. Lane, Ph.D.