Calculating Returns and Variability You find a certain equity that had returns of 7 per cent, 12

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Calculating Returns and Variability You find a certain equity that had returns of 7 per cent, –12 per cent, 18 per cent and 19 per cent for 4 of the last 5 years. If the average return of the equity over this period was 10.5 per cent, what was the equity’s return for the missing year?

What is the standard deviation of the equity’s return?

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Fundamentals Of Corporate Finance

ISBN: 9780077178239

3rd Edition

Authors: David Hillier, Iain Clacher, Stephen A. Ross

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