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7 Annual and Average Returns for Stocks, Bonds, and T-Bills, 1950 to 2017 Long-Term Treasury Stocks Bonds T-bills nts 1950 to 2017 Average 1950

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7 Annual and Average Returns for Stocks, Bonds, and T-Bills, 1950 to 2017 Long-Term Treasury Stocks Bonds T-bills nts 1950 to 2017 Average 1950 to 1959 Average 1960 to 1969 1970 to 1979 1980 to 1989 12.78 6.6% 4.30% 20.9 0.0 2.00 Average Average 8.7 1.6 4.00 7.5 5.7 6.30 Average 18.2 13.5 8.90 eBook 1990 to 1999 Average 19.0 9.5 4.90 2000 to 2009 Average 0.9 8.0 2.70 Print 2010 Annual Return I SI 0.01 2011 Annual Return 2.1 29.9 0.02 References 2012 Annual Return 16.0 3.6 0.02 2013 Annual Return 32.4 -12.7 0.07 2014 Annual Return 13.7 25.1 0.05 2015 Annual Return 1.4 0.21 2016 Annual Return 12.0 2017 2010 to 2017 Annual Return Average 21.8 1.39 0.29 Mc Graw Hill Education You have a portfolio with an asset allocation of 45 percent stocks, 30 percent long-term Treasury bonds, and 25 percent T-bills. Use these weights and the returns given in the above table to compute the return of the portfolio in the year 2010 and each year since. Then compute the average annual return and standard deviation of the portfolio. (Do not round intermediate calculations. Round your answers to 2 decimal places.) F1 2010 2011 2012 2013 @ 2 13658 MAR 15 Q W A S Portfolio Return % % % % F2 80 F3 F4 54 $ #3 % 5 F5 MacBook Air F6 27 & F7 E R T Y U D 8 * F8 9 E F9 F10 LL F G H J K L < Z X C V B N M K 07 CH 09 Characterizing Risk & Return and CH 10 7 3 points Saved 2013 Annual Return 32.4 -12.7 0.07 2014 Annual Return 13.7 25.1 0.05 2015 Annual Return 1.4 -1.2 0.21 2016 Annual Return 12.0 1.2 0.51 2017 Annual Return 21.8 1.39 2010 to 2017 Average 14.3 0.29 You have a portfolio with an asset allocation of 45 percent stocks, 30 percent long-term Treasury bonds, and 25 percent T-bills. Use these weights and the returns given in the above table to compute the return of the portfolio in the year 2010 and each year since. Then compute the average annual return and standard deviation of the portfolio. (Do not round intermediate calculations. Round your answers to 2 decimal places.) eBook Print References Portfolio Return 2010 % 2011 % 2012 % 2013 % 2014 % 2015 % 2016 % 2017 % Average % Mc Graw Hill Education SC Standard deviation % 13658 MAR 15 F2 80 F3 2 3 Q W A Z S 000 000 F4 $ 94 MacBook Air F5 F6 F7 * F8 EV 5 6 7 8 9 % E R T Y D F G H J F9 K X C V B N M F10 O P L V >

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