Calculate the weighted mean of the probability distribution


Problem: In answering the following questions, it is given that the potential investment has the following range of possible outcomes and probabilities: 10% probability of a -20% return, 40% probability of a 15% return, 40% probability of a 25% return, and a 10% probability of a 50% return.

Q1. Calculate the weighted mean of the probability distribution;

Q2. Calculate the variance of the probability distribution;

Q3. Calculate the standard deviation of the probability distribution.

Q4. Calculate the coefficient of variation of the probability distribution.

Q5. Would another investment having a coefficient of variation of .25 appear to offer a higher return per unit of risk?

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Finance Basics: Calculate the weighted mean of the probability distribution
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