Financial Strategy course in MBA.

The below 1 question need to be answered in an essay format; approximately 600 words
required.
Kindly include any diagrams, and charts necessary.
There is no need for any references. The chapter slides for the question will be attached for
reference; but not strictly required to be followed.
Select two companies. One with the highest number of sdg and one with the lowest in the UAE.
Calculate their risk and return and then explain which one is riskier (use CV, Coefficient of
Variation)

Sample Solution