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S & P 500 endeksi iin son seksen yln verileri aadaki istatistikleri verir: ortalama fazla getiri = %7,9; Standart Sapma = %23,2. Bu ortalamalar, dnem

S & P 500 endeksi iin son seksen yln verileri aadaki istatistikleri verir: ortalama fazla getiri = %7,9; Standart Sapma = %23,2.

Bu ortalamalar, dnem iin yatrmc beklentilerine yaklat lde, ortalama riskten kanma katsays ne olmaldr? Forml: E (r m ) rf = 2 m

Riskten kanma katsays gerekte 3,5 olsayd, piyasann tarihsel standart sapmasyla hangi risk primi tutarl olurdu?

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