Find standard deviation of return of asset
Discuss the below:
Q: Calculate the expected return and standard deviation of returns for asset A are
Possible Outcomes Probability Returns (%)
Pessimistic 0.25 5
Most likely 0.55 10
Optimistic 0.20 13
Now Priced at $20 (50% Discount)
Recommended (94%)
Rated (4.6/5)
What are some ways the distortion can be minimized and discuss the trade offs that exist when implementing these distortion minimizing methods?
Weighted moving average having the early periods more heavily weighted
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Calculate the expected return and standard deviation of returns for asset A are
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Would this affect any assessment that you might make of the Unique Boutique's short-term liquidity? Explain.
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