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The market and stock J have the following probability distribution: Probability R M R J 0.3 15% 20% 0.4 9 5 0.3 18 12 To.

The market and stock J have the following probability distribution:

Probability

RM

RJ

0.3

15%

20%

0.4

9

5

0.3

18

12

To. Calculate the expected rate of return on the market and stock J.

B. Calculate the standard deviation of the market and stock J.

c. Calculate the coefficient of market and stock J variation.

Do it in Excel with your formulas.

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