3.a) Hamelton Itd has following information of two investment project, Apex (A) and Bata (B). Probability .10 .20 .40 .20 .10 Distribution Cash flow of 13000 13500 14000 14500 15000 project A Cash flow of 12000 13000 14000 15000 16000 project B You are required to calculate i) Expected return ii) Standard Deviation iii) Co-efficient of variance.
3.a) Hamelton Itd has following information of two investment project, Apex (A) and Bata (B). Probability .10 .20 .40 .20 .10 Distribution Cash flow of 13000 13500 14000 14500 15000 project A Cash flow of 12000 13000 14000 15000 16000 project B You are required to calculate i) Expected return ii) Standard Deviation iii) Co-efficient of variance.
MATLAB: An Introduction with Applications
6th Edition
ISBN:9781119256830
Author:Amos Gilat
Publisher:Amos Gilat
Chapter1: Starting With Matlab
Section: Chapter Questions
Problem 1P
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![3.a) Hamelton Itd has following information of two investment project, Apex (A) and Bata (B).
Probability
.10
.20
.40
.20
.10
Distribution
Cash flow of
13000
13500
14000
14500
15000
project A
Cash flow of
12000
13000
14000
15000
16000
project B
You are required to calculate
i) Expected return
ii) Standard Deviation
iii) Co-efficient of variance.
iv) Comments which one is risky and why?](/v2/_next/image?url=https%3A%2F%2Fcontent.bartleby.com%2Fqna-images%2Fquestion%2Fb7d92622-64c1-4146-aabc-9ef45236de54%2Fbfc57b7e-27c5-4144-b1db-fd9349c5cab1%2Fj9d7jcc_processed.png&w=3840&q=75)
Transcribed Image Text:3.a) Hamelton Itd has following information of two investment project, Apex (A) and Bata (B).
Probability
.10
.20
.40
.20
.10
Distribution
Cash flow of
13000
13500
14000
14500
15000
project A
Cash flow of
12000
13000
14000
15000
16000
project B
You are required to calculate
i) Expected return
ii) Standard Deviation
iii) Co-efficient of variance.
iv) Comments which one is risky and why?
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