Compared to the normal distribution does this mean that the
The U.S. large stock portfolio has a skew of -0.31 based on the annul returns from 1926 to 2013. Compared to the normal distribution, does this mean that the U.S. large stock portfolio is more likely to incur extreme gains or extreme losses?
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the us large stock portfolio has a skew of -031 based on the annul returns from 1926 to 2013 compared to the normal
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