The portfolio set including corporate bond index with a T investment period in risk (σ, %) and return (r, %) coordinates.
Note: the white circle marks the corporate bond index portfolio; the white triangle marks the S&P 500 Index portfolio.
Source: authors’ calculations based on Bloomberg data.
Part of: Abramov A, Radygin A, Chernova M (2015) Long-term portfolio investments: New insight into return and risk. Russian Journal of Economics 1(3): 273-293. https://doi.org/10.1016/j.ruje.2015.12.001