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-   -   Security A has an expected return of 7%, a standard deviation of returns of 35%, a co (https://www.askmehelpdesk.com/showthread.php?t=459166)

  • Mar 20, 2010, 07:42 PM
    Shibafox
    Security A has an expected return of 7%, a standard deviation of returns of 35%, a co
    Security A has an expected return of 7%, a standard deviation of returns of 35%, a correlation coefficient with the market of -0.3, and a beta coefficient of -1.5. Security B has an expected return of 12% , a standard deviation of returns of 10% , a correlaion with the market of 0.7, and a beta coefficeint of 1.0.Which security is riskier and Why?
  • Mar 21, 2010, 05:10 AM
    morgaine300

    Please see the guidelines for posting homework:
    https://www.askmehelpdesk.com/financ...-b-u-font.html

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