Question: what are the (a) expected return, (b) standard deviation, and (c) coefficient of variation for an investment woth the following probability distribution? Probability. Payoff 0.2.
what are the (a) expected return, (b) standard deviation, and (c) coefficient of variation for an investment woth the following probability distribution?
Probability. Payoff
0.2. 19.0%
0.7. 9.0
0.1. 4.0
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