Examlex
Which type of survey allows for the longest interview and the most complex questions?
Variance
A measure of the dispersion of a set of data points around their mean value, representing the average of the squared differences from the mean.
Reward-To-Volatility Ratio
A measure used in finance to assess the return of an investment relative to its risk, with higher ratios indicating better risk-adjusted returns.
Standard Deviation
A statistical measure of the dispersion or variability of a set of data points, often used in finance to gauge the volatility of an investment.
Expected Return
The weighted average of all possible returns for an investment, factoring in the probabilities of each outcome.
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