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    Exam 7: Introduction to Risk and Return
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    The Standard Deviation of U
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The Standard Deviation of U

Question 1

Question 1

Multiple Choice

The standard deviation of U.S.returns from 2005 to the financial crisis four years later had increased (approximately) by a factor of


A) 2.
B) 3.
C) 4.
D) 6.

Correct Answer:

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