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9. Standard deviation is a measure of which one of the following? A. average rate of return B. volatility C. probability D. r10. Which one of the following categories of securities had the highest average return for the period 1926-2010? A. U.S. Trea

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Answer #1

1)

Volatility

Standard deviation measures the risk of an asset. Risk means the volatility associated with the asset.

2)

Small company stocks

Historically small company stocks have given the highest return.

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