25. What is the Standard Deviation of investments A and B? (Use the decimal numbers to...
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25. What is the Standard Deviation of investments A and B? (Use the decimal numbers to calculate Coefficient of Variation.) Year A B 2006 12.0% 6.0% 2007 -3.5% 5.5% 2008 -5.0% 2.5% 2009 2.5% -4.0% 2010 13.5% 8.5% Average Return 3.9% 3.7% OA: 8.83, B: 3.52 OA: 2.11, B: 1.56 OA: 7.66, B: 4.30 OA: 9.15, B: 4.32 O A: 7.38, B: 3.59 26. Using the information from previous question, what is the Sharpe Ratio of investment A and B? (Risk Free rate is 2%) OA: 0.25, B:0.40 OA: 3.90, B: 3.11 OA: 0.31, B: 0.64 OA: 2.58, B: 3.82 OA: 8.03, B: 3.59 25. What is the Standard Deviation of investments A and B? (Use the decimal numbers to calculate Coefficient of Variation.) Year A B 2006 12.0% 6.0% 2007 -3.5% 5.5% 2008 -5.0% 2.5% 2009 2.5% -4.0% 2010 13.5% 8.5% Average Return 3.9% 3.7% OA: 8.83, B: 3.52 OA: 2.11, B: 1.56 OA: 7.66, B: 4.30 OA: 9.15, B: 4.32 O A: 7.38, B: 3.59 26. Using the information from previous question, what is the Sharpe Ratio of investment A and B? (Risk Free rate is 2%) OA: 0.25, B:0.40 OA: 3.90, B: 3.11 OA: 0.31, B: 0.64 OA: 2.58, B: 3.82 OA: 8.03, B: 3.59
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