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Wealth Managers Ltd. is an investment manager. Wealth Managers maintains an expected annual return and a standard deviation for every investment in its portfolio. Below is a normal distribution of annual investment returns. This is a graph of the possible annual returns for one of Wealth Managers' investments, Muggy-Day
Wealth Managers can conclude that approximately 2/3 of the possible returns on the Muggy-Day Industries investment will lie between ___% and ___%. A. 0%, 4% B. 2%, 6% C. -1.14%, 9.14% D. 0%, 8% |