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This activity will help you gather and analyze data relating to returns and standard deviations.

Use the attached xls file for the data. In there, annual pricing for the S&P 500 ETF (SPY), Coca-Cola, and Netflix for the past 10 years can be encountered, together with standard deviation and annualized return calculations.

Compare the differences in returns and standard deviations of the three sets of data in a 300-word APA style paper. Use at least one scholarly source. Based on your analysis, explain which one of to invest in and why. Please see attached.

Attached:- instructions- additional material (mod 1 task)

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