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Msexcel 13 Portfolio Stock
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Msexcel 13 Portfolio Stock

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  • 1. YEAR XXX COMPANY YYY COMPANY 31-Dec-90 75 129.6 31-Dec-91 86.25 110 31-Dec-92 112.6 160.4 31-Dec-93 85 89.6 31-Dec-94 34.5 45 31-Dec-95 66.9 78 31-Dec-96 78 98.7 31-Dec-97 122.7 108.7 SHARE RETURN XXX COMPANY YYY COMPANY 31-Dec-90 75 129.6 31-Dec-91 86.25 15.00% 110 -15.12% 31-Dec-92 112.6 30.55% 160.4 45.82% 31-Dec-93 85 -24.51% 89.6 -44.14% 31-Dec-94 34.5 -59.41% 45 -49.78% 31-Dec-95 66.9 93.91% 78 73.33% 31-Dec-96 78 16.59% 98.7 26.54% 31-Dec-97 122.7 57.31% 108.7 10.13% MEAN 18.49% 6.68% Varinace 0.22 0.18 STD DEV 0.47 0.42

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