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(7 of 20) Ch.13 - Calculation of expected return, variance, & st. dev.: example with 2 stocks
How to Calculate Expected Return, Variance, Standard Deviation in Excel from Stocks/Shares
Chapter 13 Examples - Portfolio Expected Return and Variance 2
Expected Return and Variance of Portfolio Returns with Two Risky Assets (Using Excel)
Chapter 13 Examples - Asset Expected Return and Variance 1
Mean Variance Portfolio Theory Simply Explained
Calculate portfolio expected return and variance using Excel using a variance-covariance matrix
Computing Expected Return and Variance - A Common Mistake
Expected Return and Standard Deviation
Expected Return and Variance of Portfolio in Excel
Expected portfolio return (for the CFA Level 1 exam)
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Last Updated: August 22, 2026
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