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Based on the Information Given Below,which of the Investments Would σ\sigma

question 66

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Based on the information given below,which of the investments would be considered best based on its risk and return relationship? Assume all investors are risk-averse and the investments will be held in isolation,not in a portfolio.  Based on the information given below,which of the investments would be considered best based on its risk and return relationship? Assume all investors are risk-averse and the investments will be held in isolation,not in a portfolio.   A)  D, because its total risk is lowest. B)  E, because its coefficient of variation is lowest. C)  F, because its standard deviation,  \sigma , is highest. D)  E and F, because the have the same expected return,. E)  None of the above.


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