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mantparn mantparn
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7 years ago
A ________ is a measure of relative dispersion used in comparing the risk of assets with differing expected returns.
A) coefficient of variation
B) chi square
C) mean
D) standard deviation
Textbook 
Principles of Managerial Finance

Principles of Managerial Finance


Edition: 14th
Authors:
Read 120 times
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UlainUlain
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7 years ago
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mantparn Author
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7 years ago
*Incredible*
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