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3.43 4.99 3.88


6.68 13.22 2.97
7.1 3.85 6.74
7.6 4.78 2.94
8.21 11.95 7.04
1.39 6.69 6.35
7.49 4.84 9.27
3.63 3.85 4.82
0.41 7.33 2.12
2.1 1.3 16.85
3.38 8.96 6.25
8.26 12.44 3.12
9.73 9.56 2.07
6.38 1.85 3.06
1.73 5.14 4.06
0.33 10.35 2.69
2.74 5.59 2.17
5.13 3.93 11.79
3.16 8.02 6.49
5.26 9.09 3.98
8.47 8.43 3.63
11.38 3.06 11.24
1.8 7.38 7.08
6.1 4.07 15.87
8.17 7.27 6.12
5.04 2.91 3.51
4.88 10.43 5.71
3.83 15.69 1.38
13.28 5.71 15.89
6.63 3.81 20.98
4.55 2.95 4.45
3.79 6.13 3.24
3.87 9.59 6.83
1.99 2.29 23.83
5.47 5.14 4.73
5.57 6.25 5.03
7.03 3.12 6.19
4.11 6.73 5.19
2.55 4.69 17.86
23.73 15.8 4.25
A B

Mean 5.6595 Mean


Median 5.085 Median
Mode #N/A Mode
Standard Deviation 4.11277556 Standard Deviation
CV 72.67% CV

CV = coefficient of variation = standard deviation/mean


CV để xác định mức độ dao động, lệch càng ít thì rủi ro ít

A&B B&C
Return Mean A<B B<C
Median A<B B>C

Risk SD A>B B<C


CV A>B B<C
Return (A) < Return (B) Risk (B) < Risk (C)
and Risk (A) > Risk (B) and Median (B) > Median (C)
B is better than A B is better than C
B is the best investment among three groups
B C

6.7295 Mean 7.04175


5.92 Median 5.11
3.85 Mode #N/A
3.63265174740832 Standard Deviation 5.5076193785
53.98% CV 78.21%

A&C
A<C
A<C

A<C
A<C
Return (A) < return (C)
and risk (A) < risK (C)
A and C are not comparable

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