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What is the risk-return trade-off of Appel, Alibaba, Sony, HP, Chevron, and YINN in the month of October and November 2022 according to Yahoo Finance?

What is the risk-return trade-off of Appel, Alibaba, Sony, HP, Chevron, and YINN in the month of October and November 2022 according to Yahoo Finance? And what would be the quantitative analysis for these stocks and ETF's?

please explain and don't provide plagiarism answer otherwise downvote please explain

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