Question: 4 . What does standard deviation measure in the context of investment risk? ( a ) The probability of earning a negative return. ( b

4. What does standard deviation measure in the context of investment risk? (a) The probability of earning a negative return. (b) The total variability of an assets returns from its expected return. (c) The risk-free return of an asset. (d) The sensitivity of an assets return to changes in market interest rates

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