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For stock B, you have calculated a standard deviation of 0.051 and an Expected return of 0.092. What is stock B's coefficient of variation? Enter

For stock B, you have calculated a standard deviation of 0.051 and an Expected return of 0.092. What is stock B's coefficient of variation? Enter you answer as a decimal with a leading zero and 4 decimal places of precision (i.e. 0.1234).

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