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Compare the results between the two models of question 2 and comment on which one is better in describing the returns of the portfolio? Furthermore, discuss whether the regressions of question 2 violate any of the main assumptions.
Compare the results between the two models of question 2 and comment on which one is better in describing the returns of the portfolio? Furthermore, discuss whether the regressions of question 2 violate any of the main assumptions.
Posted by:David
Posted on:Aug 31,2021
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