What is currently the real rate of return for an investor in the 10-year Treasury? What about the after-tax real rate of return? State where you obtained the rate for the 10-year bond and the inflation rate. What impact do you believe it has on investors’ overall risk-taking appetite?
Use a template to list the factors that cause your selected problem, describe the data sets you will analyze, create a proposed graphic structure to
Use a template to list the factors that cause your selected problem, describe the data sets you will analyze, create a proposed graphic structure to present the data, and make evidence-based recommendations based on your findings.