Question: Consider the information in the table below: Stock Expected Return Beta Standard Deviation Stock A 11% 1.5 18% Stock B 10% 2.5 20% Stock C

Consider the information in the table below: Stock Expected Return Beta Standard Deviation Stock A 11% 1.5 18% Stock B 10% 2.5 20% Stock C 14% 1.4 25% Stock D 12% 1.8 16% Which stock has the lowest total risk? It is impossible to tell based on the information given Stock A O Stock C O Stock B Stock D
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