File:US data.jpg
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Risk-return plot for mixes of 5 year US treasuries ("bonds) and large-cap US stocks ("stocks"), period 1926-1998, using the returns, standard deviations and correlation coefficient from Bernstein, The Intelligent Asset Allocator.
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current | 01:20, 6 January 2015 | ![]() | 686 × 499 (28 KB) | Quebec (talk | contribs) | Risk-return plot for mixes of 5 year US treasuries ("bonds) and large-cap US stocks ("stocks"), period 1926-1998, using the returns, standard deviations and correlation coefficient from Bernstein, The Intelligent Asset Allocator. |
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