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Asset A has a return of 14% and its risk is 16%. Asset B's return is 24% and its risk is 28%. In terms of
Asset A has a return of 14% and its risk is 16%. Asset B's return is 24% and its risk is 28%. In terms of coefficient of variation, the choice for the investor should be
| Indifferent between A and B |
| Not enough information to calculate CV. |
| Asset B |
| Asset A |
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