Excel Finance Class 105: Expected Return & Standard Deviation For Portfolio — Estimating Future



Online Courses for microsoft excel :

Course updated 2010-11-30 01:56:58

Instructor : ExcelIsFun

Course Duration : 10:48

Rating : 4.93 / 5

Step by step & Descreption :
Download Excel workbook
See how to calculate Expected Returns and Standard Deviation for a portfolio of stocks. See how to do it long hand and in a single cell formula. See the functions SUMPRODUCT and SQRT.