Different returns and different standard deviations
Problem: When comparing two projects with different returns and different standard deviations, the risk measure which can be used is called the1. variance.2. certainty equivalent.3. coefficient of correlation.4. coefficient of variation.
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Problem: When comparing two projects with different returns and different standard deviations, the risk measure which can be used is called the
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True or false: "when computing an NPV, it does not matter if high inflows occur after low inflows or vice versa - the order payments has no effect on the NPV" why? What is high inflows and low inflows?? and vice versa??
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