Financial Management : Return and standard deviations

Financial Management :Return and standard deviations



The market and Stock J have the following probability distributions:

Probability                          rM                          rJ

   0.3                                       15%                        20%

0.4                                          9                              5

0.3                                          18                           12

a. Calculate the expected rates of return for the market and Stock J.

b. Calculate the standard deviations for the market and Stock J.



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