Question: Outcome Return A Return B Probability 15. a A 6.50% 4.25% 20% -5.25% -3.75% 25% C. B C What are the expected: Expected return for

 Outcome Return A Return B Probability 15. a A 6.50% 4.25%

Outcome Return A Return B Probability 15. a A 6.50% 4.25% 20% -5.25% -3.75% 25% C. B C What are the expected: Expected return for assets A and B? b. Volatility of returns for assets A and B? Covariance of returns for assets A and B? d. Correlation of returns for assets A and B? Briefly discuss whether asset A is highly correlated or poorly correlated with asset B f. Coefficient of variation for assets A and B? 15.00% 12.85% 50% e. A 25.95% 22.15% 5%

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