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What is CF Industries Holdings's coefficient of variation (CV) of possible returns given that the expected return is.186 and variance is .019314? O 0.5337 0.7472

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What is CF Industries Holdings's coefficient of variation (CV) of possible returns given that the expected return is.186 and variance is .019314? O 0.5337 0.7472 0.6171 none of the answers is correct 0.3185

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