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Q1) Study of volatility of 40 country's stock market returns was carried out by considering standard deviation of these returns, country's credit rating, and whether or not country is developing or emerging country. Analyze this data below and sum up your results.  Determine the relationships among data above? Analyze with charts/graphs/tables and a discussion.

Country

StdDev

Rating

Dev/Emrg

Afghanistan

55.7

8.3

E

Australia

23.9

71.2

D

China

27.2

57.0

E

Cuba

55.0

8.7

E

Germany

20.3

90.9

D

France

20.6

89.1

D

India

30.3

46.1

E

Belgium

22.3

79.2

D

Canada

22.1

80.3

D

Ethiopia

47.9

14.1

E

Haiti

54.9

8.8

E

Japan

20.2

91.6

D

Libya

36.7

30.0

E

Malaysia

24.3

69.1

E

Mexico

31.8

41.8

E

New Zealand

24.3

69.4

D

Nigeria

46.2

15.8

E

Oman

28.6

51.8

D

Panama

38.6

26.4

E

Spain

23.4

73.7

D

Sudan

60.5

6.0

E

Taiwan

22.2

79.9

D

Norway

21.4

84.6

D

Sweden

23.3

74.1

D

Togo

45.1

17.0

E

Ukraine

46.3

15.7

E

UK

20.8

87.8

D

US

20.3

90.7

D

Vietnam

36.9

29.5

E

Zimbabwe

36.2

31.0

E

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