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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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