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Assume that ASX 300 Index represents the risky portfolio. Calculate the annual return for the period 2011-2020 for the risky portfolio using the data given
Assume that ASX 300 Index represents the risky portfolio. Calculate the annual return for the period 2011-2020 for the risky portfolio using the data given for the ASX 300 Index. Then calculate the average return and standard deviation for the risky portfolio.
Year | ASX 300 Index | ASX 300 Dividend Yield (%) | Return_risky portfolio |
2010 | 4760.79 | 3.76 | - |
2011 | 4052.27 | 4.93 | ??? |
2012 | 4626.27 | 4.33 | ??? |
2013 | 5304.8 | 3.99 | ??? |
2014 | 5348.93 | 4.24 | ??? |
2015 | 5249.09 | 4.72 | ??? |
2016 | 5617.73 | 4.09 | ??? |
2017 | 6023.3 | 4.04 | ??? |
2018 | 5596.96 | 4.48 | ??? |
2019 | 6647.74 | 3.95 | ??? |
2020 | 6574.33 | 2.82 | ??? |
Average | ??? | ||
Standard deviation | ??? |
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