Analysis on How to Deal with the Problem of Correlation among Different Securities
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Keywords

Correlation coefficient, Standard deviation, Variance, Co-variance

Abstract

By analyzing the correlation among many kinds of securities, the paper hopes to solve the financial problems on how to establish securities combination in relevant financial markets .Meanwhile, through comparing with traditional portfolio theories, the writer wants to help all kinds of investors realize the arbitraging purpose by using new method with researching relative model of Portfolios more deeply and more theoretically.

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