Question: Using the following returns, calculate the expected returns, the variance, standard deviations and coefficient of variation for x and Y . Which stock is the

Using the following returns, calculate the expected returns, the variance, standard
deviations and coefficient of variation for x and Y. Which stock is the least risky?
You have been given the expected return data shown in the first table on three assets-F,
G, and H- over the period 2018-2021
 Using the following returns, calculate the expected returns, the variance, standard

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