Percent probability range of returns
Assume that for a period of time, long-term corporate bonds had an average return of 8.0 percent with a standard deviation of 12.0 percent. What is the 95 percent probability range of returns?
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Suppose that for the period of time, long-term corporate bonds had average return of 8.0 percent with standard deviation of 12.0 percent. What is the 95 percent probability range of returns?
Suppose that for a 5-year period, large-company stocks had annual rates of return of 21.54 percent, -9.20 percent, -11.99 percent, -21.60 percent, and 29.39 percent. What is the variance of these returns?
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