Question: We use standard deviation or variance A to measure the return on an asset or a return on portfolio investment. B to compare among the
We use standard deviation or variance
| A | to measure the return on an asset or a return on portfolio investment. |
| B | to compare among the returns on multiple assets. |
| C | to measure if the investors are risk-taker. |
| D | to measure the risk of investment in an asset or a portfolio. |
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