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# Financial mangement (Mgt201)......Assignment no 1 (Start date :12 july,2016.....End date :18 july,2016)..Marks :10

PLZ SEE THE ASSIGNMENT IN ATTACHMENT FILE .......THANKS

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### Replies to This Discussion

mery hisab sy b 5 ana chahye 2 nahi

@n1d@\$,

Please consult handout page# 86 & 87 for second part and for part three please refer to page 89. :)

These 2 parts are easy compare to first... :)

I am stuck in part A standard deviation.

S.D. = √(total return – average return)2   /  N
where average return = Total Return / 5

and Total return will be calculated by this formula:

T0-T1+D1/T1 and same for all 5 periods and then sum all of them...!

@saifee, nobody is going to upload full solution, we need to discuss here rather to copy and paste....

meny kar k dekha hy 87 page k hisab sy mera answer to boht hi zayda chnage aa raha hy S,D ka

Dears, SD for 2nd part kissi ne kara hai?

part a bta den plz kese karna hai plz

STANDARD DEVIATION PART 1

Standard Deviation = √(total return – average return)2   /  Numbers of time  -1
= √(16.89–3.38)2   / 5
=2.702
kia ye theak hai???
= √(16.89–3.38)2   / 5-1
=3.37

nhi pata mje koi sahi tarha ek answer bta de baki hm kar len gay plz plz

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