Question: Q3 PLEASE ANSWER CORRECTLY AND PROMPTLY!! PLEASE SHOW ALL WORK!! Suppose that, next year, you expect Intel's stock to have a standard deviation of 30%

Q3 PLEASE ANSWER CORRECTLY AND PROMPTLY!! PLEASE SHOW ALL WORK!!

Q3 PLEASE ANSWER CORRECTLY AND PROMPTLY!! PLEASE SHOW ALL WORK!! Suppose that,

Suppose that, next year, you expect Intel's stock to have a standard deviation of 30% and a beta of 1.2, and Walmart's stock to have a standard deviation of 21% and a beta of 1.6. Based on these estimates, which stock carries more total risk? Which has more systematic (i.e. market) risk? A. Walmart has more total risk and Intel has more systematic risk. B. Walmart has both more total risk and more systematic risk. C. Intel has more total risk and Walmart has more systematic risk. D. Intel has both more total risk and more systematic risk

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