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Consider the returns of the MSCI index of developed markets equity in the Excel file. Given the returns over the 1988-2013 period, what has been
Consider the returns of the MSCI index of developed markets equity in the Excel file. Given the returns over the 1988-2013 period, what has been the standard deviation of annual returns (volatility) of these markets?
Possible Answers:
24.2%
20.9%
19.4%
18.0%
22.1%
\begin{tabular}{||c|c|c|c|} \hline & & & \\ \hline Year & Developed & Emerging & \\ \hline 1988 & 24.0% & 40.4% & \\ \hline 1989 & 17.2% & 65.0% & \\ \hline 1990 & 16.5% & 10.6% & \\ \hline 1991 & 19.0% & 59.9% & \\ \hline 1992 & 4.7% & 11.4% & \\ \hline 1993 & 23.1% & 74.8% & \\ \hline 1994 & 5.6% & 7.3% & \\ \hline 1995 & 21.3% & 5.2% & \\ \hline 1996 & 14.0% & 6.0% & \\ \hline 1997 & 16.2% & 11.6% & \\ \hline 1998 & 24.8% & 25.3% & \\ \hline 1999 & 25.3% & 66.4% & \\ \hline 2000 & 12.9% & 30.6% & \\ \hline 2001 & 16.5% & 2.4% & \\ \hline 2002 & 19.5% & 6.0% & \\ \hline 2003 & 33.8% & 56.3% & \\ \hline 2004 & 15.2% & 26.0% & \\ \hline 2005 & 10.0% & 34.5% & \\ \hline 2006 & 20.7% & 32.6% & \\ \hline 2007 & 9.6% & 39.8% & \\ \hline 2008 & 40.3% & 53.2% & \\ \hline 2009 & 30.8% & 79.0% & \\ \hline 2010 & 12.3% & 19.2% & \\ \hline 2011 & 5.0% & 18.2% & \\ \hline 2012 & 16.5% & 18.6% & \\ \hline 2013 & 27.4% & 2.3% & \\ \hline \end{tabular}Step by Step Solution
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