2
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2
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Name reference in documents
EFTA01362945
formed and allows it to be compared to other investments. Standard Deviation (sample)— Measures the dispersal or uncertainty of investment returns = s. Specifically, it measures the degree of variation of monthly returns around the mean return. The higher the volatility of the investment returns, the higher the
EFTA01363041
formed and allows it to be compared to other investments. Standard Deviation (sample)— Measures the dispersal or uncertainty of investment returns = s. Specifically, it measures the degree of variation of monthly returns around the mean return. The higher the volatility of the investment returns, the higher the