From the prices of shares X and Y below, find out which is more stable in value:
Here
For X
Mean where n is number of terms
=
=
=
Standard deviation = √variance= √35=5.91
Coefficient of variation
For Y
where n is number of terms
=
=
=
=
Standard variance = √variance= √4=2
Coefficient of variation
Covariance of x covariance of Y
⇒ X is more variable and Y is more stable than X