Question: to Module 13 Overview: Risk and Return II. Question 2 6.25 pts An asset with the following return distribution has an expected return of 17.95%.

 to Module 13 Overview: Risk and Return II. Question 2 6.25

to Module 13 Overview: Risk and Return II. Question 2 6.25 pts An asset with the following return distribution has an expected return of 17.95%. State of Economy Recession Normal Boom Probability of State of Economy 0.16 Return if State Occurs - 11% 0.57 18% 0.27 35% What is the standard deviation of the asset's returns? 14.58% 13.98% 15.42% 15.20% 15.95% Next

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