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during the last year your stock protfolio was up 8.4% whereas your bond portfolio was down 1.2%. the risk free rate last year was 2.3%
during the last year your stock protfolio was up 8.4% whereas your bond portfolio was down 1.2%. the risk free rate last year was 2.3% and inflation was 1.2%. what were the risk-premiums for your stock portfolio and your bond portfolio? What were the real returns for both portfolio?
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