Free 2 Asset Portfolio Calculator - Given a portfolio with 2 assets, this determines the expected return (mean), variance, and volatility (standard deviation) of the portfolio. This calculator has 7 inputs.
What 1 formula is used for the 2 Asset Portfolio Calculator?
Portfolio Variance = Asset 2%2 x Volatility of Asset 12 + Asset 2%2 x Volatility of Asset 22 + 2 x Asset 1 % x Asset 2% x Covariance x Volatility of Asset 1 x Volatility of Asset 2
What 5 concepts are covered in the 2 Asset Portfolio Calculator?
2 asset portfolio
expected return
amount of profit or loss an investor anticipates on an investment
standard deviation
a measure of the amount of variation or dispersion of a set of values. The square root of variance
variance
How far a set of random numbers are spead out from the mean
volatility
Measures dispersion of returns for an stock or index
2 Asset Portfolio Calculator Video
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