单项选择题
理财产品A、B收益率分布如下:
经济状况 |
发生概率P1 |
A收益率R1i |
B收益率R2i |
萧条 |
20% |
-0.15 |
0.05 |
衰退 |
5% |
0.20 |
0.10 |
正常 |
40% |
0.30 |
-0.05 |
繁荣 |
35% |
0.45 |
0.15 |
理财产品A和理财产品B在未来可能出现的四种经济状况下的收益率和概率分布如上表,已知理财产品B的期望收益率为
0.0475,标准差为0.087285,计算以下问题: |
理财产品A的期望收益率是( ),方差是( )。
A.0.2575,0.012594
B.0.2,0.048750
C.0.2,0.050375
D.0.2575,0.047069