Scenario Modeler's prospective stock has a 15% chance of producing a 65% return, a 25% chance of
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Question:
Scenario Modeler's prospective stock has a 15% chance of producing a 65% return, a 25% chance of producing a 22% return, a 40% chance of producing a 9% return, and a 20% chance of producing a -22% return.What is the firm's coefficient of variation of return?Enter your answer rounded to two decimal places.For example, if your answer is 12.345 then enter as 12.35 in the answer box.
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