Comparison of risk and return


Two stocks with actual returns as follows are being considered by an investor. Assist them by calculating the standard deviation and the coefficient of variation and advise them based on a comparison of risk and return.

Stock X Actual Returns: 6%, 12%, 8%, 10%

Stock Z Actual Returns: 9.5%, 9.25%, 8%, 9%

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Finance Basics: Comparison of risk and return
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