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SEE ATTACH 6. Calculate the coefficient of variation of the risk-return relationship of the bond market (Use the above Tables) during each decade since 1950.

SEE ATTACH

6. Calculate the coefficient of variation of the risk-return relationship of the bond market (Use the above Tables) during each decade since 1950. (Round your answers to 2 decimal places.)

Decade CoV

1950s Not Available

1960s ______

1970s ______

1980s ______

1990s ______

2000s ______

image text in transcribed 6. Table 9.2 Average Returns for Bonds -2-2 1950 to 1959 1960 to 1969 1970 to 1979 1980 to 1989 1990 to 1999 2000 to 2009 http:/ /ezto.mhedu Average Average Average Average Average Average Bonds 0.0% 1.6 5.5 13.9 9.9 8.3 Table 9.4 Annual Standard Deviation for Bonds 1950 to 1959 1960 to 1969 1970 to 1979 1980 to 1989 1990 to 1999 2000 to 2009 Bonds 4.5% 6.2 6.8 15.8 12.9 10.9 Calculate the coefficient of variation of the risk-return relationship of the bond market (Use the above Tables) during each decade since 1950. (Round your answers to 2 decimal places.) Decade 1950s 1960s 1970s 1980s 1990s 2000s CoV Not Available

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