Question: a. Construct a multidimensional table of the mean five-year return by type and risk. b. Construct a multidimensional table of the standard deviation of the
b. Construct a multidimensional table of the standard deviation of the five-year return by type and risk.
c. What conclusions can you reach concerning differences between the type of bond funds (intermediate government and short-term corporate) based on risk factor (low, average, and high)?
d. Compare the results in (a)-(c) to the five-year returns from 2005-2009 (stored in Bond Funds).
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