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Problem 11-6 Risk Premiums (L01) Assume these are the stock market and Treasury bill returns for a 5-year period: Stock Market T-Bill Year Return (8)

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Problem 11-6 Risk Premiums (L01) Assume these are the stock market and Treasury bill returns for a 5-year period: Stock Market T-Bill Year Return (8) Return (8) 2013 35.60 0.20 2014 15.10 0.20 2015 -5.00 0.20 2016 16.70 0.07 2017 25.50 0.09 Required: a. What was the risk premium on common stock in each year? b. What was the average risk premium? c. What was the standard deviation of the risk premium? (Ignore that the estimation is from a sample of data.) Answer is complete but not entirely correct. Complete this question by entering your answers in the tabs below. Required A Required 8 Required What was the standard deviation of the risk premium? (Ignore that the estimation is from a sample of data.) (Do not round intermediate calculations. Enter your answer as a percent rounded to 2 decimal places.) Standard deviation 15.05

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