Question: Question 2 ( Mandatory ) ( 1 point ) Asset A has an expected return of 1 1 % and a volatility of 1 4

Question 2(Mandatory)(1 point)
Asset A has an expected return of 11% and a volatility of 14%. Asset B has an expected return of 7% and a volatility of 10%. Which asset would a risk-averse investor select?
One cannot tell without additional information.
Either Asset A or Asset B
Asset B
Asset A
Question 2 ( Mandatory ) ( 1 point ) Asset A has

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