I am having an extremely hard time trying to solve these problems. This chapter has been the most challenging for me and I would appreciate any sort of help. The textbook comes from the CFA Institute and it is the fourth edition of Quantitative Investment Analysis.
it’s a broad topic, but an important one. what aspects are you not clear about?
i know it’s like a complete foreign language when you first start this section, but it would help to explain what you currently understand (or not) after reading the chapter.