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The question has two parts a) Consider the following collection of n=9 closing for stock ABC: 101.02, 102.23, 100.34, 99.87, 98.65, 96.45, 98.45, 99.00, 100.05
The question has two parts a) Consider the following collection of n=9 closing for stock ABC: 101.02, 102.23, 100.34, 99.87, 98.65, 96.45, 98.45, 99.00, 100.05
b) Compute the standard estimator of the volatility parameter using these closing prices. Can I have the answer with a clear formula Please?
Please Please Please help, I need help badly please. Thank you in advance
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