

McqMate
Q. |
The problem with Markowitz’s model is that a number of covariance have to be estimated. for example for a portfolio of 30 stocks, the covariance that to be estimated are |
A. | 300 |
B. | 350 |
C. | 435 |
D. | 450 |
Answer» C. 435 |
View all MCQs in
Fundamentals of InvestmentNo comments yet