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A portfolio has a total return of 10.5%, a beta of 0.72 and a standard deviation of 6.3%. The risk ...
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A portfolio has a total return of 10.5%, a beta of 0.72 and a standard deviation of 6.3%. The risk ...
A portfolio has a total return of 10.5%, a beta of 0.72 and a standard deviation of 6.3%. The risk free rate is 3.8%, the market return is 12.4%. Jensen's measure of this portfolio's performance is
▸ 0.5%.
▸ 4.3%.
▸ 7.9%.
▸ 9.3%.
Textbook
Fundamentals of Investing
Edition:
14
th
Authors:
Zutter, Smart
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