Finance project

User Generated

lbfrs911

Humanities

Finance 344

Morgan State University

Description

  1. Watch the Excel Video on "How to compute mean, standard deviation, etc". For your assigned firms, using monthly stock price data from 2010-2017:1) compute the mean, standard deviation, and coefficient of variance; and2) graph the monthly stock prices.3) compare the two firms which has the lowest standalone risk and best risk-to-return ratio.Source: Yahoo!Finance or Mergent Online
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