For this problem, use the data in Bond Funds2008.
a. Construct a multidimensional table of the mean 2008 return by type, fees, and risk.
b. Construct a multidimensional table of the standard deviation of the 2008 return by type, fees, and risk.
c. What conclusions can you reach concerning differences between the type of bond funds (intermediate government and short-term corporate) based on fees (yes or no) and risk factor (low, average, and high)?
d. Compare the results in (a)–(c) to the 2009 returns (stored in Bond Funds).
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