Over the period 2000 through 2006,the average annual return on stocks was about 20%.
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Q41: Given the longer an asset is held,the
Q42: Interest rate risk is closely related to
Q43: Business risk refers to problems encountered by
Q44: Firm specific risk can be entirely eliminated
Q45: The historical record of returns and risks
Q47: All other factors being the same,firms that
Q48: Over the period 1970 through 2006,the average
Q49: Inflation risk means that an investment's return
Q50: Holding foreign assets in a portfolio tends
Q51: Evidence shows that returns on corporate stocks
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