But if I would confine myself just to stocks and bonds, then I would get a much higher standard deviation.
但若组合里只有股票和债券,我的标准差会高得多。
Over this time period, that portfolio had an expected return of something like a little over 9% and it had a standard deviation of a little over 9%.
在这个时间段,这个投资组合的预期收益率是,9%多一点%,标准差是9%多一点。
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