Mean Rate of Return of this Portfolio Assignment | Homework For You
January 30th, 2020
Problem 1 A loan is being repaid with 2n monthly payments, starting one year after the loan. Just after the nth payment Nick finds that he still owes 4/5N of the original amount. What proportion of the next payment is interest?
Problem 2 For given expected rates of returns, variances and covariances what percentages of total investment should be invested in each of the two stocks to minimize the total variance of the rate of return of the resulting portfolio? What is the mean rate of return of this portfolio? Get Finance homework help today