In: Finance
The market and stock A have the following probability distributions:
Probability | Rm | Ra |
---|---|---|
.3 | 15% | 20% |
.4 | 9% | 5% |
.3 | 18% | 12% |
Q1. Calculate the expected rates of return for the market and stock A.
Q2. Calculate the standard deviation for the market and stock A.
Q3. Calculate the coefficient of variation for the market and stock a.