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3. The following table shows the past annual returns for Stock A and Stock B, please find the expected return, standard deviation and coefficient of
3. The following table shows the past annual returns for Stock A and Stock B, please find the expected return, standard deviation and coefficient of variation for Stock A, Stock B and a Portfolio that puts 25% weight on Stock A and 75% weight on Stock B. Stock A Stock B Year Returns Returns 2005 10.30% 10.71% 2006 -0.10% 25.00% 23.30% 0.38% 2.20% 26.20% 2009 14.00% 11.52% 2007 2008
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