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- Assets with thicker tails in their return history distributions may suggest: - What characteristics do we use to describe assets in the financial markets?
- Assets with thicker tails in their return history distributions may suggest:
- What characteristics do we use to describe assets in the financial markets?
- In 2008, which asset class had the highest rate of return in the U.S.?
- Which one of these countries tends to have the highest stock market risk premium? (Italy, Switzerland, Spain, Norway)
- If the volatility in an asset's price increases then the ERP will:
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