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Getting Started with Portfolio Optimization

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Getting Started with Portfolio Optimization

I’m watching the video here:
http://www.mathworks.com/videos/getting-started-with-portfolio-optimization-68762.html

I now the financial theory. I’m trying to figure out the m-code. I followed along in the video tutorial; typed out the code but I must be missing something because my code is not working (posting my code below). Does anyone know where I can download the complete code? I can’t seem to find the code anywhere. Or, does anyone know what the code is? I mean, has anyone here done it themselves? I don’t think the code is posted anywhere on the Matlab site; I’ve looked for it everywhere….

I’d greatly appreciate any help with this!!

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