Question
Compute the Coefficient of the Variation of each of Stock A and Stock B Which stock has the least risk per dollar of return?
Compute the Coefficient of the Variation of each of Stock A and Stock B Which stock has the least risk per dollar of return? Stock A Case Base case Base case Base case Stock B Case Base case Base case 15% 15% 20% Base case 20% Expected Return 7,00% 5.95% 8.05% Expected Return 9.00% 7.20% 10.80% Proability weighted expected return 4.900% 0.893% 1208% Proability weighted. expected return LADON 1.400% 2.160% Deviation Total Variance Standard Deviation -0.010500 2E-05 0.0105000 28-05 Deviation Variance Total Variance Standard Deviation 3E-05 0.006 Variance -0.0180000 68-05 0.0180000 6E-05 1E-04 0.011
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Business Statistics A Decision Making Approach
Authors: David F. Groebner, Patrick W. Shannon, Phillip C. Fry
9th Edition
013302184X, 978-0133021844
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