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    Week 11 Monday

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    9/2/15

    Today I studied the return distributions of the set of stocks I used in the last class. I have also decided what I want to do with my finance project. Since the Modern Portfolio Theory has no "right answer" as long as the portfolio is on the curve, I want to create an application that lets you set your own parameters (higher risk/return vs lower risk/return). Of course there will be other parameters that can be set such as the types of contsraints, the objectives, and the optimization method but that will be dealt with later.