Calculate the coefficient of variation of the risk-return


Average Returns for Bonds Low-risk bonds 1950 to 1959 Average 2.1 % 1960 to 1969 Average 4.1 1970 to 1979 Average 6.3 1980 to 1989 Average 8.0 1990 to 1999 Average 5.1 2000 to 2009 Average 2.6 Table 9.4 Annual Standard Deviation for T-Bills Low-risk bonds 1950 to 1959 0.5 % 1960 to 1969 1.4 1970 to 1979 2.2 1980 to 1989 2.6 1990 to 1999 1.1 2000 to 2009 2.1 Use the tables above to calculate the coefficient of variation of the risk-return relationship in T-bills during each decade since 1950. (Round your answers to 2 decimal places.) Decade CoV 1950s 1960s 1970s 1980s 1990s 2000s.

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Financial Management: Calculate the coefficient of variation of the risk-return
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