What is the coefficient of variation (CV) of an asset with expected return 5% and standard deviation 1.5%? a. 0.3 b. 3.33 c. 7.5 d. 6.5

EBK CFIN
6th Edition
ISBN:9781337671743
Author:BESLEY
Publisher:BESLEY
Chapter8: Risk And Rates Of Return
Section: Chapter Questions
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What is the coefficient of variation (CV) of an asset with expected return 5% and standard deviation 1.5%?
a.
0.3
b.
3.33
c.
7.5
d.
6.5
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