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What does standard deviation measure?

a. the holding period
b. the gain on the investment
c. risk
d. the amount of dividend

correct answer for 11 points

User Ouida
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Answer:

Standard deviation measures risk. It is a statistical measure that shows how much the values of a set of data deviate from the average or mean. In finance, it is commonly used to measure the volatility or variability of an investment's returns. The higher the standard deviation, the riskier the investment is considered to be because the returns are more unpredictable and can vary widely from the average.

User Youwhut
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