Sections
Calculate expected return, standard deviation, coefficient of variation, and required rate of return from the following information-
Situation Probability Annual return Risk-free return Market return Beta
X 40% 15% 5% 8% 1.2
Y 35% 13% 4% 9% 1.3
Z 25% 11% 3% 10% 1.1
Which situation is preferable?