Assume you are risk-averse and have the following three choices. |
Expected Value | Standard Deviation | |||||
A | $ | 2,440 | $ | 1,420 | ||
B | 2,560 | 1,960 | ||||
C | 2,020 | 910 | ||||
a. | Compute the coefficient of variation for each. (Round your answers to 3 decimal places.) |
Projects | Coefficient of Variation |
A | |
B | |
C | |
b. | Which project will you select? |
Project C |
Explanation:
a.
A | $1,420 / $2,440 | = | .582 | ||
B | 1,960 / $2,560 | = | .766 | ||
C | $910 / $2,020 | = | .450 | ||
b.
Based on the coefficient of variation, you should select Project C as it is the least risky.
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