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    Intermediate Financial Management Study Set 2
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    Exam 2: Risk and Return: Part I
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    The Coefficient of Variation, Calculated as the Standard Deviation Divided
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The Coefficient of Variation, Calculated as the Standard Deviation Divided

Question 52

Question 52

True/False

The coefficient of variation, calculated as the standard deviation divided by the expected return, is a standardized measure of the risk per unit of expected return.

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