Respond to three questions and solve three computational problems about the risk-and-return relationship.Every investment carries a different level of risk and return. It is useful to explore different measures of risk and learn how to compare risk with the return, as well as differentiate between standalone risk and portfolio, or market, risk.QuestionsIn a Word document, respond to the following. Number your responses 1–3.

Define risk, and explain how it is measured.

Identify a source of firm-specific risk. What is the source of market risk?

Explain what the coefficient of variation measures.

Use references to support your responses as needed. Be sure to cite all references using correct APA style. Your responses should be free of grammar and spelling errors, demonstrating strong written communication skills.

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