Based upon your answers to Question 1, which asset appears riskiest based on standard deviation? Based on

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Based upon your answers to Question 1, which asset appears riskiest based on standard deviation? Based on coefficient of variation?

Asset Annual Returns A 5%, 10%, 15%, 4% B -6%, 20%, 2%, –5%, 10% 12%, 15%, 17% D 10%, – 10%, 20%, –15%, 8%, -7%

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