A stock had the following annual returns 17 3 -19 and -17
A stock had the following annual returns: 17%, 3%, -19%, and -17%. What is the stock's expected return, variance, and standard deviation? (Show your answer to 4 decimals)
Expected Return =
Variance =
Standard Deviation =
NEED in 4 decimal places
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assume the manager of corporate bonds predicts interest rates will rise in the near future what adjustments should be
1 what is the constant of proportionality2 confirm that the above sum-product algorithm does compute ptn t
civil rightsdevelop a three to five page apa style paper not including cover and reference pages in which you research
find the most probable code word in the case where the normalized likelihood is 02 02 09 02 02 02 02 also find or
a stock had the following annual returns 17 3 -19 and -17 what is the stocks expected return variance and standard
the mean gross annual incomes of certified plumbers are normally distributed with the mean of 36000 and a standard
resources group influence assignment - read group influence portfolio assignmentnbsp study how the group members
1 travelers are asked how many hours they are willing to drive while on vacation in one day a total of 86 travelers
assignmentbullread the following case study hard economic and finance choices in us healthcare milsteadocase study 1
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