How s-p composite index have a standard deviation
Problem:
How could the S&P Composite Index have a standard deviation of 20.3% if the historical standard deviation of common stocks has been 20.5% and the small company stocks have been 33.3%. I do not quite understand this, can you explain this?
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How could the S&P Composite Index have a standard deviation of 20.3% if the historical standard deviation of common stocks has been 20.5%
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