1. From the information below, compute the average annual return, the variance, standard deviation, and coefficient for each asset.
ASSET ANNUAL RETURNS
A 5%, 10%, 15%, 4%
B -6%, 20%, 2% -5%, 10%
C 12%, 15%, 17%
D 10%, -10%, 20% -15%, 8%, -7%
2. Based upon your answers to question, which assets appears riskiest based on standard deviations? Based on coefficient of variations?