Description Usage Arguments Examples
This function takes a dataframe with stock returns and calculates the mean return and the standard deviation of the return for each stock.
1 |
df |
the dataframe to be manipulated |
st.dev |
FALSE–returns variance, else, sd. |
1 | tic_summ()
|
Add the following code to your website.
For more information on customizing the embed code, read Embedding Snippets.