Most of us don't have a rolling consistent 25 year investing time horizon or the risk tolerance to undergo
the annual volatility of the stock market.
Not exact matches
This graph uses data from 1972 (except mid cap, which is from 1984) to 2015 from «Portfolio Visualizer» to plot an array
of popular
stock types using
volatility vs.
annual return (as compound
annual growth rate).
'' to plot an array
of popular
stock types using
volatility vs.
annual return (as compound
annual growth rate).
The higher the number, the greater the
volatility; for a
stock fund that has an average
annual return
of 12 % and a standard deviation
of 20 %, you can expect to earn between 32 % and -8 % in about two out
of every three years.
Volatility of the
stocks, bonds, and short - term asset classes is based on the historical
annual data from 1926 through the most recent year - end data available from Ibbotson Associates, Inc..
Despite the recent
volatility and overall
stock market decline in March, the Dividend Meter portfolio checks in with a gain
of $ 115.60 in
annual dividend income, produced by only two transactions and a dividend raise during the past month.
Key input assumptions used to estimate the fair value
of stock options include the exercise price
of the award, the expected option term, the expected
volatility of the Company's
stock over the option's expected term, the risk - free interest rate over the option's expected term, and the Company's expected
annual dividend yield.