Hi David,
This is from Gujarati Q.07.15 d
I am having little difficulty in understanding this solution.
What does Adjustment mean here ? and how did we calculated other things? Sorry it might be very trivial question, but i am unable to infer it properly.
Thank you,
Regards,
Arpit
Can please anyone help me understand this question?
Imagine we have two independent uniform distributions, A and B. A ranges be
tween −2 and −1, and is zero everywhere else. B ranges between +1 and +2, and
is zero everywhere else. What are the mean and standard deviation of a portfolio
that...
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