portfolio manager has a long position 5 Mio. USD.
borrowing rate 0.08% 借债成本
要做一个pair trading of stock A and stock B, 各自的beta分别等于 1.12 和 0.98
expected price change percentage of stock A is + 1.7%
expected price change percentage of stock B is - 1.2%
请问这个pair trading的profit是多少呢?
老师能给写一下解题思路和过程吗?
感谢教研老师救命!!!!!!