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Question: The following table shows the annual returns (in percent) for Fidelity's Electronic and Utilities funds.

146_Electronic.png

a. Calculate the sample mean, the sample variance, and the sample standard deviation for each fund.

b. Which fund had the higher average return?

c. Which fund was riskier over this time period? Use both standard deviation and the coefficient of variation in your explanation.

d. Given a risk-free rate of 4%, which fund has the higher Sharpe ratio? What does this ratio imply?

Management Theories, Management Studies

  • Category:- Management Theories
  • Reference No.:- M92268961

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