STATISTICS

What’s the mean annual return of the S&P 400 Midcap Index over the past 7 years? What’s the standard deviation? What’s the mean annual return of the NASDAQ-100 Index over the past 7 years? Calculate a coefficient of correlation of the two indexes’ returns. Explain what may be causing the changes in the indexes’ returns over the past 7 years. Consider reviewing http://finance.yahoo.com. Submit a 3 to 5 page double-spaced paper with proper APA formatting.

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