calc_risk_adjusted_return(
safe_asset_return = 0.02,
risky_asset_return_mean = 0.04,
risky_asset_return_sd = 0.15,
risky_asset_allocation = 0.5,
risk_aversion = 2
)
calc_risk_adjusted_return(
safe_asset_return = 0.02,
risky_asset_return_mean = 0.04,
risky_asset_allocation = c(0.25, 0.5, 0.75),
risky_asset_return_sd = 0.15,
risk_aversion = 2
)
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