Expected return and standard deviation can help you analyze investment portfolios. Learn their differences, uses, and ...
How They Differ and Practical Uses in Finance and Investing Henry Hoenig has three decades of journalism experience as a news and economics editor in the U.S. and Asia, handling coverage of global ...
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What Does Standard Deviation Measure In a Portfolio?
For a given data set, standard deviation measures how spread out the numbers are from an average value. This measurement of average variance has a prominent place in many fields related to statistics, ...
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