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Risk versus Return in T-bills

Average Returns for Bonds   

Low-risk bonds   

1950 to 1959 Average 2.6 %   

1960 to 1969 Average 4.7   

1970 to 1979 Average 6.1   

1980 to 1989 Average 8.3   

1990 to 1999 Average 5.4   

2000 to 2009 Average 2.3

Annual Standard Deviation for T-Bills

Low-risk bonds   

1950 to 1959 1.0 %   

1960 to 1969 1.3   

1970 to 1979 2.1   

1980 to 1989 3.0   

1990 to 1999 1.5   

2000 to 2009 2.2    

Calculate the coefficient of variation of the risk-return relationship (Use the above Tables) during each decade since 1950. (Round your answers to 2 decimal places.)    

Decade CoV   

1950s   

1960s   

1970s   

1980s   

1990s   

2000s

Financial Management, Finance

  • Category:- Financial Management
  • Reference No.:- M92726490

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