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Levels Tought:
University
| Teaching Since: | Apr 2017 |
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bachelor in business administration
Polytechnic State University Sanluis
Jan-2006 - Nov-2010
CPA
Polytechnic State University
Jan-2012 - Nov-2016
Professor
Harvard Square Academy (HS2)
Mar-2012 - Present
Information concerning the allocation of loan portfolios to different market sectors is given below.
|
Allocation of Loan Portfolios in Different Sectors (%) |
|||
|
Sectors |
National |
Bank A |
Bank B |
|
Commercial |
30% |
50% |
10% |
|
Consumer |
40 |
30 |
40 |
|
Real Estate |
30 |
20 |
50 |
Bank A and Bank B would like to estimate how much their portfolios deviate from the national average.
a. Which bank is further away from the national average?
b. Is a large standard deviation necessarily bad for an FI using this model?
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