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Randomness of Returns in Different Markets

In the top table below each country's share market and asset class returns are shown each year between 1991 and 2016. The asset class is colour coded. The bottom table shows their relative position each year ranked highest to lowest.

The result is essentially random, there is no discernible patterns. 

This highlights the folly of trying to predict markets
Asset-class-returns-1991-2016
     
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