Mod 3: P2

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FINC6366Project2-CovarianceandCorrelation1.xlsx

FINC 6366 - Project 2

FINC 6366 - Project 2 - Covariance and Correlation
Name Alexis Giusti
State of Economy Probability Return for Stock A Return for Stock B Return for Stock C Return for Stock D Return for Stock E Return for Stock F
Growth 0.25 31% 3% 15% 21% 0% 18%
Status Quo 0.50 21% 1% 3% 7% 4% 3%
Recession 0.25 20% 4% -5% -6% 6% -4%
A) Expected Returns
E[RA] E[RB] E[RC] E[RD] E[RE] E[RF]
B) Standard Deviations
σA σB σC σD σE σF
C) Portfolio AB
WA WB CovAB CorrAB E[RAB] σAB
D) Portfolio CD
WC WD CovCD CorrCD E[RCD] σCD
E) Portfolio EF
WE WF CovEF CorrEF E[REF] σEF