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The following probability distributions of returns for two stocks have been estimated: Probability; Stock A; Stock B 0.3; 12%; 5% 0.4; 8; 4 0.3; 6;
The following probability distributions of returns for two stocks have been estimated:
Probability; Stock A; Stock B
0.3; 12%; 5%
0.4; 8; 4
0.3; 6; 3
What is the coefficient of variation for the stock that is less risky (assuming you use the coefficient of variation to rank riskiness).
3.62
0.28
0.66
5.16
0.19
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