Multiple Choice
According to the definitions given in the text, if Stock A has a standard deviation of 4% and expected returns of 9%, and Stock B has a standard deviation of 3% and returns of 1%, which stock is riskier?
A) Stock A
B) Stock B
C) they are equally risky
D) cannot determine from the information given
Correct Answer:

Verified
Correct Answer:
Verified
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