The investment proposal with the greatest relative risk would have
A. | the highest standard deviation of net present value. |
B. | the highest coefficient of variation of net present value. |
C. | the highest expected value of net present value. |
D. | the lowest opportunity loss likelihood. |
Answer : B Explanation : |
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Option: A Explanation : Explanation will come here. Explanation will come here. Explanation will come here. Explanation will come here. Explanation will come here. |