2025-05-24

How to solve portfolio risk exam questions

This video simplifies the concept of portfolio risk under modern portfolio theory. It walks you through how risk changes with diversification, using a practical example. Learn how to calculate portfolio risk with provided data, including expected returns, standard deviations, and correlation coefficients. Discover how to use the relationship between covariance and correlation to solve real-world finance questions efficiently.

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Explaining correlation and covariance in finance

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