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Which of the following measures captures the effects of both risk and return, which makes it a better measure than standard deviation for evaluating stand-alone
Which of the following measures captures the effects of both risk and return, which makes it a better measure than standard deviation for evaluating stand-alone risk in situations where investments differ with respect to both their amounts of total risk and their expected retums? Coefficient of variation Correlation coefficient of one investment with another investment Beta coefficient Probability distribution of the investment's returns Expected average rate of returns of the investment
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