Question: Question content area top Part 1 Using the data in the following table, estimate the average return and volatility for each stock. Realized Returns Year
Question content area top
Part 1
Using the data in the following table, estimate the average return and volatility for each stock.
| Realized Returns |
| ||||
| Year | Stock A | Stock B | |||
| 2008 | 3% | 27% | |||
| 2009 | 17% | 27% | |||
| 2010 | 2% | 9% | |||
| 2011 | 6% | 9% | |||
| 2012 | 3% | 11% | |||
| 2013 | 6% | 32% | |||
Question content area bottom
Part 1
The return of stock A is
enter your response here%.
(Round to two decimal places.)
Part 2
The return of stock B is
enter your response here%.
(Round to two decimal places.)
Part 3
The variance of stock A is
enter your response here.
(Round to five decimal places.)
Part 4
The variance of stock B is
enter your response here.
(Round to five decimal places.)
Part 5
The standard deviation of stock A is
enter your response here%.
(Round to two decimal places.)
Part 6
The standard deviation of stock B is
enter your response here%.
(Round to two decimal places.)
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