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What is the market risk premium for SP500 in the last 2 years?
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Generally, economists think it's between 3% and 7%. This seems small but actually radically changes the expected compensation for equity using the CAPM model.
Sorry, I don't have any empirical findings to share.
Check on the home page of my website and look to the left. There should be a spreadsheet, with monthly ERP for the S&P 500 going back to September 2008.
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