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You have data on the following assets: asset Expected return Standard Deviation A 15.0% 21.0% B 15.5% 20.2% C 18.0% 25.0% Now calculate the coefficient
You have data on the following assets:
asset | Expected return | Standard Deviation |
A | 15.0% | 21.0% |
B | 15.5% | 20.2% |
C | 18.0% | 25.0% |
Now calculate the coefficient of variation for each of the assets. Which one is the best investment option?
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