Find the real return on the following investments: STOCK NOMINAL RETURN INFLATION A 10% 3% B 15% 8% C – 5% 2% 8. The countries of Stabilato and Variato have the following average returns and standard deviations for their stocks, bond, and short-term government securities. What range of returns should you expect to earn 95 percent of the time for each asset class if you invested in Stabilato’s securities? From investing in Variato’s securities? STABILATO ASSET AVERAGE RETRUN STAVDARD DEVIATION Stocks 8% 3% Bonds 5% 2% I need to see this worked out along with the answers
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