Optimize a portfolio of ETFs by maximizing the P10 outcome. Compare outcomes using cumulative distribution graphs. Excel model used in the video is available at: https://1drv.ms/x/s!AgtEj5D79IYqgctBj... or contact me at brian@theputts.comPortfolio Optimization to Minimize Loss with SIPmath Resample - Part 1 - YouTube | |
| 1 Likes | 1 Dislikes | 
| 324 views views | 148 followers | 
| Science & Technology | Upload TimePublished on 22 Oct 2016 | 
Không có nhận xét nào:
Đăng nhận xét