Title: A portfolio has a total return of 14.5%, a beta of 1.54, and a standard deviation of 17.6%. If the ... Post by: Cell6 on Mar 21, 2022 A portfolio has a total return of 14.5%, a beta of 1.54, and a standard deviation of 17.6%. If the risk free rate is 4.5% and the market return is 10.2%, then Treynor's measure of this portfolio's performance is
▸ 2.8%. ▸ 3.7%. ▸ 6.5%. ▸ 9.4%. Title: A portfolio has a total return of 14.5%, a beta of 1.54, and a standard deviation of 17.6%. If the ... Post by: moon21c on Mar 21, 2022 Content hidden
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