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Dette papir beskriver afkast og risici ved investering i det danske aktiemarked over en lang historisk periode. Det er almindeligt kendt, at aktier giver et højt gennemsnitligt afkast sammenlignet med obligationer mod til gengæld at være mere risikable på kort sigt. Derimod er det mere...
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This paper presents long time series of stock and bond returns for Denmark from 1922 to 1999. Average stock returns are low in an international context, but returns (and volatility) have increased sharply since 1983 which may be explained by major changes in economic policy and liberalizations...
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