Question: 1. Problem 8.01 (expected return) A stocks returns of the following distribution: (graph in image) assume the risk free rate is 3%. Calculate the stocks
1. Problem 8.01 (expected return)

A stocks returns of the following distribution: (graph in image)

assume the risk free rate is 3%. Calculate the stocks expected return, standard deviation, coefficient of variation, and sharpe ratio. Do not round intermediate calculations. Round your answer to two decimal places.
A treck's inturns hove the fol owing distrbution: stacks eupested return Stendera deviation Coemcies of warlatun: Sherfon ratios: A stods ittere, reve the folewing distribution: Stock's expected returni Btandaid deviatien: Ceemdent of variacent wharpe ratiol
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