sarvar

33%
Flag icon
They found that for the 10-year period ending December 31, 2001, the standard deviation (a measure of risk) for actively managed funds was 19.4 percent, compared to 16.2 percent for the more diversified total stock market index.
sarvar
Index fund are safer compared to actively managed funds.
The Bogleheads' Guide to Investing
Rate this book
Clear rating
Open Preview