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pharmdwannabe pharmdwannabe
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6 months ago
The expected return on the market is 12% with a standard deviation of 20%. The risk-free rate is 4.5%. What is the Sharpe ratio of a portfolio with an expected return of 10.5% and a standard deviation of 12%?

▸ 0.70

▸ 0.38

▸ 0.50

▸ 0.88
Textbook 
Corporate Finance

Corporate Finance


Edition: 5th
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crusherpsgcrusherpsg
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6 months ago
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pharmdwannabe Author
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6 months ago
Thanks for your help!!
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Yesterday
Good timing, thanks!
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2 hours ago
You make an excellent tutor!
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