Risk of Pricing Discussion

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I don’t know how to handle this Computer Science question and need guidance.

A) What is(are) the good reason(s) to normalize data?

B) Given TSLA and IBM, which stock opening prices deviate from the mean price more? Data is given in stckPrcs.tar.bz2(i got this file i will share)

C) Why would you say that one or the other is more risky (prices deviate from the mean more)?