File:Volatility sorted portfolios 1929 2021.png

Page contents not supported in other languages.
This is a file from the Wikimedia Commons
Source: Wikipedia, the free encyclopedia.

Original file(1,766 × 1,146 pixels, file size: 91 KB, MIME type: image/png)

Summary

Description
English: This graph comes from the website paradoxinvesting.com/data. It contains 10 portfolios of the largest 1,000 stocks sorted on 3-year volatility. For each of the 10 portfolios the figure shows the compounded average annual return on the vertical axis and the annualized volatility on the horizontal axis.
Date
Source Own work
Author InvestorQuant

Licensing

I, the copyright holder of this work, hereby publish it under the following license:
w:en:Creative Commons
attribution share alike
This file is licensed under the Creative Commons Attribution-Share Alike 4.0 International license.
You are free:
  • to share – to copy, distribute and transmit the work
  • to remix – to adapt the work
Under the following conditions:
  • attribution – You must give appropriate credit, provide a link to the license, and indicate if changes were made. You may do so in any reasonable manner, but not in any way that suggests the licensor endorses you or your use.
  • share alike – If you remix, transform, or build upon the material, you must distribute your contributions under the same or compatible license as the original.

Captions

Add a one-line explanation of what this file represents

Items portrayed in this file

depicts

4 September 2022

File history

Click on a date/time to view the file as it appeared at that time.

Date/TimeThumbnailDimensionsUserComment
current15:10, 4 September 2022Thumbnail for version as of 15:10, 4 September 20221,766 × 1,146 (91 KB)InvestorQuantUploaded while editing "Low-volatility investing" on en.wikipedia.org
The following pages on the English Wikipedia use this file (pages on other projects are not listed):

Metadata