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Portfolio Mix

Model — @RISK Developer's Kit

This model depicts a stock portfolio comprised of eight different stocks. We want to determine the different possible total returns of the portfolio, and the likelihood of achieving various returns.



          
Stock 1 Stock 2 Stock 3 Stock 4 Stock 5 Stock 6 Stock 7 Stock 8
Enter Weights (%):
Enter Current Yields (%):
Enter Min Future Yield (%):
Enter ML Future Yield (%):
Enter Max Future Yield (%):
Select Distribution:
                 

Yield Correlation Matrix

             
  Stock 1 Stock 2 Stock 3 Stock 4 Stock 5 Stock 6 Stock 7 Stock 8
Stock 1  
Stock 2    
Stock 3      
Stock 4        
Stock 5          
Stock 6            
Stock 7              
Stock 8