Problem 10.08 – Calculating Average Returns, Standard Deviations, and Risk Premiums for Large-Company Stocks and T-Bills
Essentials of Corporate Finance
Ross, Westerfield, and Jordan
10th Edition and 11th Edition
Calculate the arithmetic average returns, standard deviations of returns, average risk premium, and standard deviation of the risk premium for large-company stocks and T-bills over a specified period, using year-to-year total returns data.
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