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Do you observe any weird results in these from a risk-return perspective? Explain the problem clearly, what would you expect and why we might be

Do you observe any weird results in these from a risk-return perspective? Explain the problem clearly, what would you expect and why we might be observing this problem?


Country

Mean Stock Return

Mean Bond Return

Stock SD

Bond SD

Australia

15.99

16.09

25.63

13.89

Austria

13.31

9.69

34.00

7.54

Belgium

20.27

12.74

20.88

8.69

France

19.39

14.41

27.86

9.38

Germany

17.07

9.00

27.91

8.86

Ireland

23.58

15.72

31.11

12.81

Italy

19.95

20.95

36.76

21.29

Japan

9.38

8.70

22.99

6.87

Netherland

20.94

10.05

20.86

8.75

New Zealand

17.48

14.75

39.24

14.05

South Africa

20.63

15.59

26.16

13.62

Switzerland

15.94

5.99

25.17

6.70

UK

18.75

15.52

12.40

14.14

US

16.98

13.09

13.50

13.12

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