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  3. Study Set
    Intermediate Financial Management
  4. Exam
    Exam 2: Risk and Return: Part I
  5. Question
    Standard Deviation Is a Better Measure of Risk Than the Coefficient
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Standard Deviation Is a Better Measure of Risk Than the Coefficient

Question 40

Question 40

True/False

standard deviation is a better measure of risk than the coefficient of variation if the expected returns of the securities being compared differ significantly.

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