Problem 10.09, 10.10, and 10.11 – Average Returns, Variance, Standard Deviation, Real Returns, Nominal Risk Premium, Real Risk-Free Rate, and Real Risk Premium for a Company’s Stock

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This calculator solves all three problems: 10.9, 10.10, and 10.11. Calculate the arithmetic average return, variance, standard deviation, average real return, average nominal risk premium, average real risk-free rate, and average real risk premium for a company's stock over a specified period, using observed returns, average inflation rate, and average T-bill rate.

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