Comparison

International Comparison of Volatility for Equities, Housing, and Short-Term Bonds

A comparative study of long-term investment data from 16 countries analyzed both the average annual rates of return and the volatility for equities, housing, and short-term bonds. In terms of risk, measured by volatility or the year-to-year variation in returns, the assets ranked distinctly. Equities exhibited the highest volatility, housing was less volatile than equities, and short-term bonds were the least volatile of the three.

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Updated 2025-08-16

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