Ten stock portfolio expected return and Standard Deviation in excel in urdu Part 1
In this comprehensive tutorial, we will show you how to calculate the monthly expected return and standard deviation of a 10-stock portfolio using Excel. This video is designed especially for finance students and professionals interested in investment management and portfolio management, particularly those from Pakistan, India, and Bangladesh.
We will guide you step by step in Urdu/Hindi, covering essential concepts such as investment analysis and portfolio management, which are crucial for Pakistani finance students. You will learn how to calculate monthly expected return and monthly standard deviation, and how to annualize these figures to understand the annual expected return and annual standard deviation of your portfolio.
Whether you're looking into investment opportunities in Pakistan or want to enhance your skills in managing a portfolio in Excel, this video will provide you with practical insights. Perfect for those interested in learning about portfolio management, expected return calculations, and standard deviation, all explained in an easy-to-understand way.
Keywords: Portfolio, Portfolio in Excel, Investment Management and Portfolio Management, Investment Analysis and Portfolio Management, Monthly Expected Return and Monthly Standard Deviation, Annual Expected Return and Annual Standard Deviation, Portfolio in Hindi, Portfolio in Urdu, Pakistani Finance Students, Finance Students
How to Calculate Expected Return and Standard Deviation of a ten Stock Portfolio in Excel Urdu/Hindi
How to Calculate Monthly Expected Return and Standard Deviation of a 10-Stock Portfolio and annualizing them in Excel | Urdu/Hindi Tutorial