单项选择题
假设某证券的收益分布状况如表4-5所示,则该证券的预期收益率和标准差分别是()。
A.7.2%和10.8% B.8.2%和11.9% C.8.2%和10.8% D.7.2%和11.9%
A.(-2.8%,17.8%);(-23.4%,38.4%) B.(-2.8%,17.8%);(-13.1%,28.1%) C.(-13.1%,28.1%);(-23.4%,38.4%) D.(-12.2%,30.1%);(-26.3%,40.2%)
A.14% B.15% C.16% D.16.3%