Question: What is measuring risk according to standard deviation really measuring? a) the amount that the return of the stock falls below the average return b)
What is measuring risk according to standard deviation really measuring? a) the amount that the return of the stock falls below the average return b) the return with respect to the market as a whole c) the amount of dispersion of the actual return of the stock from the average return over a period of time d) the amount that the return of the stock falls below the expected return
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