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    Exam 2: Certified Trust and Financial Advisor
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    A Statistical Measure of the Variability of a Distribution Around
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A Statistical Measure of the Variability of a Distribution Around

Question 271

Question 271

Multiple Choice

A statistical measure of the variability of a distribution around its mean is referred to as __________.


A) Probability distribution
B) The expected return
C) The standard deviation
D) Co-efficient of variation

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