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4 . 7 4 Analysis of portfolio returns over a 2 0 - year period showed the statistics below. ( a ) Calculate and compare

4.74 Analysis of portfolio returns over a 20-year period showed the statistics below. (a) Calculate and
compare the coefficients of variation. (b) Why would we use a coefficient of variation? Why
not just compare the standard deviations? (c) What do the data tell you about risk and return?
Returns
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