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Mathematics, 23.09.2019 23:00 joejonaslover7476

Do bonds reduce the overall risk of an investment portfolio? let x be a random variable representing annual percent return for the vanguard total stock index (all stocks). let y be a random variable representing annual return for the vanguard balanced index (60% stock and 40% bond). for the past several years, assume the following data. x: 14 0 39 25 32 27 28 14 14 15 y: 6 2 29 17 26 17 17 2 3 5 compute the coefficient of variation for each fund. round your answers to the nearest tenth.

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