So it's centered at this frequency that was expected, but it's actually split into two different frequencies.
它的中心在预计频率处,但劈裂成两个不同频率。
Then, once we did that we could plug that into the formula that I gave you last time and get the standard deviation of the portfolio and the expected return on the portfolio.
再将估算出的数值代入到,上节课给你们的公式中,就能得到资产投资组合的标准差,和该投资组合的预期收益率
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