Question: Year - Stock A Returns - Stock B Returns 2014 (23.00 %) (13.90 %) 2015 26.50 17.90 2016 19.50 28.30 2017 (3.25 ) (14.30 )

Year - Stock A Returns - Stock B Returns

2014 (23.00 %) (13.90 %)
2015 26.50 17.90
2016 19.50 28.30
2017 (3.25 ) (14.30 )
2018 26.75 28.50

a.Calculate the standard deviation of returns for each stock and for the portfolio. Round your answers to two decimal places.

Stock A Stock B Portfolio
Standard Deviation % % %

b.Calculate the coefficient of variation for each stock and for the portfolio. Round your answers to two decimal places.

Stock A Stock B Portfolio
CV

c. Assuming you are a risk-averse investor, would you prefer to hold Stock A, Stock B, or the portfolio?

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