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