A portfolio's annual total returns (in percent) for a five-year period are: (See the Excel Data File.) The median and the standard deviation for this sample are the closest to ________.
A) 0.75 and 5.46
B) 1.62 and 5.46
C) 1.62 and 6.11
D) 2.50 and 6.11
Correct Answer:
Verified
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