Expected Value, Standard Deviation of Returns, & Coefficient
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The expected value, standard deviation of returns, and coefficient of variation for asset A are (See below.)
Possible Outcomes Probabilities Returns(%)
Pessimistic .25 5
Most Likely .55 10
Optimistic .20 13
A) 9.33 percent, 8 percent, and 2.15, respectively.
B) 10 percent, 8 percent, and 1.25, respectively.
C) 9.35 percent, 2.76 percent, and 0.295, respectively.
D) 9.35 percent, 4.68 percent, and 2.00, respectively.
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The solution finds the expected value, standard deviation of returns, and coefficient of variation.
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