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A B 20% 30% escription Standard Deviation Expected Return CV 10% 15% 2% 3.1% B. 0,9 1,4 a. Which stock is riskier for diversified investors?
A B 20% 30% escription Standard Deviation Expected Return CV 10% 15% 2% 3.1% B. 0,9 1,4 a. Which stock is riskier for diversified investors? (2 pt b. Calculate the required rate of return for each stock? ( On the basic of 2 stocks Expected and required rate o more attractive to diversified investors and why? (4 p C. A B 20% 30% escription Standard Deviation Expected Return CV 10% 15% 2% 3.1% B. 0,9 1,4 a. Which stock is riskier for diversified investors? (2 pt b. Calculate the required rate of return for each stock? ( On the basic of 2 stocks Expected and required rate o more attractive to diversified investors and why? (4 p C
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