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Assignment help 1690

  1. Calculate the average rate of return for each stock during the period 2011 through 2015.
  2. Assume that someone held a portfolio consisting of 50% of stock A and 50% of stock B.
  3. What would the realized rate of return on the portfolio have ben each year? What would
  4. the average return on the portfolio have been during this period?
  5. Calculate the standard deviation of returns for each stock and for the portfolio.
  6. Calculate the coefficient of variation for each stock and for the portfolio.
  7. Assuming you are risk-averse investor, would you prefer to hold stock A , stock B, or the
  8. portfolio? Why? 


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