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. 2021 Aug 18;22(1):49–79. doi: 10.1007/s10258-021-00200-z

Table 2.

Stock market scenarios

Expected return Volatility
Low:σ=10% Medium: σ=20% High: σ=30%
μ=15% Scenario 1 Scenario 4 Scenario 7
μ=10% Scenario 2 Scenario 5 Scenario 8
μ=5% Scenario 3 Scenario 6 Scenario 9