The standard deviation is a measure of:
A) Volatility.
B) Return.
C) Performance.
D) Capital gains.
E) The risk premium.
Correct Answer:
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Q3: Rate of return is expressed on a
Q4: The arithmetic average return is the return
Q5: Why is the rate of return on
Q6: The value that is equal to the
Q7: The geometric average return is the:
A) Summation
Q9: A company whose has 1,000,000 shares and
Q10: The reward for bearing risk is known
Q11: The fact that higher returns are associated
Q12: Annual dividend yield at time (t +
Q13: The risk premium is defined as the
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