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What’s the risk/return tradeoff of investing in S&P CNX Nifty?

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What’s the risk/return tradeoff of investing in S&P CNX Nifty?

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The long-run (10 year) return on S&P CNX Nifty is 21% per annum. The long-run daily standard deviation is 1.60% per day. In recent times, i.e. over the last calendar year, the daily standard deviation was 1.11% per day.

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