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Compute the (a) expected return, (b) standard deviation, and (c) coefficient of variation for investments with the following probability distributions: ProbabilityrArB 0.3 30.0%5.0% 0.210.015.0 0.5-2.025.0

Compute the (a) expected return, (b) standard deviation, and (c) coefficient of variation for investments with the following probability distributions:

ProbabilityrArB

0.3 30.0%5.0%

0.210.015.0

0.5-2.025.0

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