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Risk, Return, and Their Relationship (LG9-3, LG9-4) Consider the following annual returns of Molson Coors and International Paper: Molson Coors International Paper Year 1 22.8 % 5.8 % Year 2 − 9.7 − 18.8 Year 3 43.0 − 0.6 Year 4 − 9.5 27.9 Year 5 17.5 − 12.4 Compute each stock’s average return, standard deviation, and coefficient of variation. (Round your answers to 2 decimal places.) Molson Coors International Paper Average return % % Standard deviation % % Coefficient of variation Which stock appears better? International Paper Molson Coors

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