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Q1) Study of volatility of 40 country's stock market returns was carried out by considering standard deviation of these returns, country's credit rating, and whether or not country is developing or emerging country. Analyze this data below and sum up your results. Determine the relationships among data above? Analyze with charts/graphs/tables and a discussion.
Country
StdDev
Rating
Dev/Emrg
Afghanistan
55.7
8.3
E
Australia
23.9
71.2
D
China
27.2
57.0
Cuba
55.0
8.7
Germany
20.3
90.9
France
20.6
89.1
India
30.3
46.1
Belgium
22.3
79.2
Canada
22.1
80.3
Ethiopia
47.9
14.1
Haiti
54.9
8.8
Japan
20.2
91.6
Libya
36.7
30.0
Malaysia
24.3
69.1
Mexico
31.8
41.8
New Zealand
69.4
Nigeria
46.2
15.8
Oman
28.6
51.8
Panama
38.6
26.4
Spain
23.4
73.7
Sudan
60.5
6.0
Taiwan
22.2
79.9
Norway
21.4
84.6
Sweden
23.3
74.1
Togo
45.1
17.0
Ukraine
46.3
15.7
UK
20.8
87.8
US
90.7
Vietnam
36.9
29.5
Zimbabwe
36.2
31.0
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