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picture1_Module03 Spreadsheet Stock Portfolio


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File: Module03 Spreadsheet Stock Portfolio
sheet 1 sheet2 mean sd year0 year1 year2 year3 year4 year5 general year performance so stocks are correlated 118 100 098 127 090 energy 005 030 5000 4978 6430 7773 ...

icon picture XLS Filetype Excel XLS | Posted on 16 Aug 2022 | 3 years ago
Partial file snippet.
Sheet 1: Sheet2


mean sd year0 year1 year2 year3 year4 year5
general year performance (so stocks are correlated)



1.18 1.00 0.98 1.27 0.90










energy
0.05 0.30 5000 4978 6430 7773 12194 20539
pharmaceuticals
0.06 0.20 5000 7020 6626 9143 16965 17177
entertainment
0.04 0.10 5000 6769 5302 5933 8270 8473
insurance
0.07 0.05 5000 6745 6379 6684 9324 8435
banking
0.06 0.30 5000 4976 3444 5521 8232 9871
computer technology
0.18 0.30 5000 6754 11010 14181 21556 24514










Totals


30000 37240.9116518796 39191.8296114932 49234.6920223349 76540.7613098412 89008.1117389761

























































































telecommunications
0.05 0.20 5000 5468 5580 5448 7854 6807
food
0.04 0.25 5000 9961 13165 16838 20527 16790
retail
0.08 0.10 5000 6639 8196 8333 11640 11163
transportation
0.11 0.20 5000 6789 6694 8927 11146 9822

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...Sheet mean sd year general performance so stocks are correlated energy pharmaceuticals entertainment insurance banking computer technology totals telecommunications food retail transportation...

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