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Suppose you found the following average annual returns over the past 20 years: Sector Fund: 11.2% Canadian Bonds: 5.0% Canadian Treasury Bills: 3.6% Canadian Inflation
Suppose you found the following average annual returns over the past 20 years: Sector Fund: 11.2% Canadian Bonds: 5.0% Canadian Treasury Bills: 3.6% Canadian Inflation Rate : 2.4% Given this information, what was the risk premium an investor earned if they invested in the Sector Fund over this 20-year period? Note: Your answer must be accurate to within 0.1%
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