Question: You have gathered average return and standard deviation data for five stocks (A-E). How have these stocks performed on a risk versus return basis? Compute
You have gathered average return and standard deviation data for five stocks (A-E). How have these stocks performed on a risk versus return basis? Compute the coefficient of variation for each one?

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Company A B D E Annual Return Average Standard deviation 14% 9% 9% 13% 35 11% 25 44 18 30
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