S p 500 average annual return

    • [DOC File]Chapter 2

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      The following table shows risk and return measures for two portfolios. Average Annual Standard Portfolio Rate of Return Deviation Beta R 11% 10% 0.50 S&P 500 14% 12% 1.00 CFA. 12. When plotting portfolio R on the preceding table relative to the SML, portfolio R lies: a. On the SML. b. Below the SML. c. Above the SML. d. Insufficient data given. 13.

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    • [DOCX File]Price/Earnings-to-Growth – PEG Ratio Definition

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      The money Buffett has put down is his own, not Berkshire's or its shareholders'. His chosen vehicle is Vanguard's S&P 500 Admiral fund (VFIAX). Protégé's is the average return of five funds of funds, meaning that the fund-of-fund managers who select the choicest hedge funds themselves take a cut.

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    • [DOC File]Ch - Oregon State University

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      The following table provides the average annual rate of return for Portfolio X, the market portfolio (S&P 500) and U.S. T-bills during the past 8 years. Avg. Return Std. Dev. Beta. Portfolio X 10% 18% 0.6. S&P 500 12% 13% T-bills 6% Calculate both the Treynor and Sharpe measure for Portfolio X and the market.

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    • [DOC File]Investment Companies

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      S&P 500 Composite Index. Russell 2000 (index for small companies) Returns. Total return. Cumulative total return. Average annual return. Performance consistency has been researched and there is (as usual) conflicting evidence on whether past performance can be maintained. As a result the index funds with lower expenses have gained popularity.

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    • [DOCX File]Return and Risk

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      Let’s calculate the annual returns for the S&P 500 Index, GM, and the 3-Month T-Bill:

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