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Calculate the coefficients of variation for the following stocks: Stock Expected return Standard deviation of return 1 0.065 0.39 2 0.02 0.17 3 0.1 0.24

Calculate the coefficients of variation for the following stocks:

Stock Expected return Standard deviation of return
1 0.065 0.39
2 0.02 0.17
3 0.1 0.24

Attempt 1/10 for 10 pts.

Part 1

What is the coefficient of variation for stock 1?

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Attempt 1/10 for 10 pts.

Part 2

What is the coefficient of variation for stock 2?

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Attempt 1/10 for 10 pts.

Part 3

What is the coefficient of variation for stock 3?

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Attempt 1/5 for 10 pts.

Part 4

If you want to get the best risk-to-reward trade-off, which stock should you buy?

Stock 2

Stock 3

Stock 1

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