| University | University Of Otago (UO) |
| Subject | Statistics |
It was of interest to compare and quantify the performance of investment portfolios in two different financial sectors. Thirty-eight portfolios, each from a randomly selected finance company, were utilized. The companies were classified by which financial sector they were in, which we have called sectors A and B for this assignment. The portfolios ranged from one to twelve years of age. The variable of interest is the value that an initial investment of $1000 would now be worth.
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