Calculate the expected return and the standard deviation
The potential return on the B Corp. stock has the following distribution:
Prob. Return
.05 -30%
.15 0%
.45 5%
.15 12%
.10 30%
.05 100%
Calculate the expected return and the standard deviation for the B Corp.
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the potential return on the b corp stock has the following distributionprobnbsp nbsp nbsp nbsp nbsp nbsp nbsp
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