Writers need advanced knowledge in money banking and the financial market. This is a group work about Japan stock market bubbles between 1986 and 1991. My job is doing session 4 and session 5. Prof. requires us to download data from the Japan statistics or IMF or UN or reliable source and make chart or graph in excel ourselves. No copy-paste graph or chart. Section 4 of paper: Describe in detail, with the support of tables and graphs, the behaviour of other financial asset returns and prices (e.g., bonds, foreign exchange rates) during the bubble period. (references must be included at the end of your paper; Use (Links to an external site.) as an example of how to organize your references and use footnotes.