Question: Using the data in the following? table, estimate the average return and volatility for each stock. Realized Returns Year Stock A Stock B 2008 negative

Using the data in the following? table, estimate the average return and volatility for each stock. Realized Returns Year Stock A Stock B 2008 negative 4?4?% 2727?% 2009 1010?% 3434?% 2010 11?% 1313?% 2011 negative 5?5?% negative 5?5?% 2012 55?% negative 6?6?% 2013 1010?% 3333?% The return of stock A is nothing?%. ?(Round to two decimal? places.) The return of stock B is nothing?%. ?(Round to two decimal? places.) The variance of stock A is nothing.???(Round to five decimal? places.) The variance of stock B is nothing. ? (Round to five decimal? places.) The standard deviation of stock A is nothing?%. ?(Round to two decimal? places.) The standard deviation of stock B is nothing?%. ?(Round to two decimal? places.)

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