Suppose that the last three years of returns were: Year 1: -10% Year 2: +16% Year 3:

Suppose that the last three years of returns were:

Year 1: -10% 

Year 2: +16%

Year 3: -12%

What is the standard deviation of those returns this is only a SAMPLE of historical performance and not the population?

"Get 15% discount on your first 3 orders with us"
Use the following coupon
FIRST15

Order Now