Finance Expert

1. Calculate calendar year returns for each index from 2004 through 2015.

2. For each of the eight rolling five year periods from 2004 to 2015 and the entire period from 2004 to 2015, calculate the average return and standard deviation of each index, and the correlation coefficient between the indices.

3. For each of the nine time periods, calculate and graph the opportunity set using 5% increments. For each graph also calculate and graph the minimum variance portfolio and the optimal portfolio.

4. Create another graph which shows all the opportunity sets on one graph.

5. Comment on your results.


Habilidades: Finanzas, Análisis financiero , Mercados financieros

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Información del empleador:
( 5 comentarios ) Jaipur, India

Nº del proyecto: #12185296

2 freelancers están ofertando el promedio de $3/hora para este trabajo

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Hi, I have worked in Statistical arbitrage hedge fund in my previous role. I am GARP certified FRM. I have already developed modules for Optimization using Markowitz, Black Litterman approaches. I can automate al Más

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