Question: 1 a stock returned 13 percent 10 percent and 3...
A stock returned -13 percent, 10 percent, and 3 percent, over the last 3 years, respectively. What is the standard deviation of these returns?
Risk and reward are:
related but the relationship is undefined.
Which one of the following categories of securities had the most volatile rates of return over the period 1926-2010?
long-term corporate bonds
intermediate-term government bonds