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Calculate the 95% confidence intervals for the four different investments included in the following table. Canadian Treasury
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S&P TSX Composite Index Mean (SM) = 10.97

S&P TSX Composite Index SD (SV) = 16.08

There are 250 companies in S&P TSX index

The critical value for a 95% confidence interval is 1.96

Range of return for 95% confidence interval will be calculated using the following formulae

6 / +961 +=*+961–ws=1]

Range = 10.97 +/- (16.08)/((250)^0.5)

Range = 11.99 to 9.95

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