Calculate the Expected Return and Risk measured in terms of standard deviation and Variance relating to the following information of a Investment avenue:  Return in Percentage:   -15​-10​-5​+5​+10​+15 Probability:​​.10​.15​.20​.20​.25​.10

EBK CFIN
6th Edition
ISBN:9781337671743
Author:BESLEY
Publisher:BESLEY
Chapter8: Risk And Rates Of Return
Section: Chapter Questions
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1. Calculate the Expected Return and Risk measured in terms of standard deviation and Variance relating to the following information of a Investment avenue: 

Return in Percentage:   -15​-10​-5​+5​+10​+15

Probability:​​.10​.15​.20​.20​.25​.10

 

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