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18 May, 07:53

What are some statistical measures of risk and what type of risk do they measure?

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  1. 18 May, 10:57
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    Standard Deviation

    Standard deviation is a method of measuring data dispersion in regards to the mean value of the dataset and provides a measurement regarding an investment’s volatility. As it relates to investments, the standard deviation measures how much return on an investment is deviating from the expected normal or average returns.
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