Have done most calculations in portfolio tracking sheet in excel.
However, there are few things to complete towards the end but please
Double check my calculation from beginning to end.
You have to complete the calculation on the portfolio tracking sheet
before analysing the behavioural perspective of my chosen assets and
discuss biases, overconfidence, representativeness, availability,
ambiguity aversion, narrow framing, herding in a 500 words speaker write up notes with refrences which i will present.
I will provide the rest materials.