QUESTION 1 Your portfolio had the values in the table below for the…

QUESTION 1
Your portfolio had the values in the table below for the four years listed. There were no withdrawals or contributions of new funds to the portfolio. Calculate your average return over the 4-year period. (Click on the icon here
in order to copy its contents of the data table below into a spreadsheet.)
Beginning Value
Ending Value
2016
\$60,618
\$55,518
2017
55,518
64,938
2018
64,938
68,984
2019
68,984
70,380
Question content area bottom
Part 1
The return for
2016
is
(Round to one decimal place.)
QUESTION 2-
our portfolio had the values in the following table for the four years listed:
Data table
(Click on the icon here
in order to copy its contents of the data table below into a spreadsheet.)
Beginning Value
Ending Value
2016
\$59,462
\$55,536
2017
55,536
64,852
2018
64,852
67,183
2019
67,183
70,997
.
a. Calculate your return for each year over the 4-year period. Then calculate the average return over the 4-year period.
b. Calculate the portfolio standard deviation.
Question content area bottom
Part 1
The return for
2016
is
(Round to two decimal places.)