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Finance&ExcelCh11.pptx
PowerPoints

Watch videos for Chapter 11 (Click link):

Excel Finance Class 103: 2 Ways To Calculate Geometric Mean  (5 mins)

Excel Finance Class 104: Expected Return & Standard Deviation For 1 Stock -- Estimating Future  (12 mins)

Excel Finance Class 105: Expected Return & Standard Deviation For Portfolio -- Estimating Future  (11 mins)

Excel Finance Class 106: Unexpected Information, Market & Asset Specific Risk, Diversification, Beta  (14 mins)

Excel Finance Class 107: Calculating Beta (2 Methods) & Chart Beta, SLOPE CORREL & STDEV  (12 mins)

Excel Finance Class 108: Reward To Risk Ratio - Treynor Index  (7 mins)

Excel Finance Class 109: Beta For Portfolio  (4 mins)

Excel Finance Class 110: Security Market Line (SML) & Capital Asset Pricing Model (CAPM)  (10 mins)

Excel Finance Class 111: Treynor Index & CAPM  (3 mins)