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tw1gg tw1gg
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2 years ago
A portfolio has a total return of 14.4%, a standard deviation of 18.5% and a beta of 1.43. The risk free rate is 2.5%, the market rate of return is 11.4%, and the market's Treynor measure is 6.3. What is the value of the Treynor measure of this portfolio?

▸ -1.9%

▸ .63 %

▸ 8.32%

▸ 27.4%
Textbook 
Fundamentals of Investing

Fundamentals of Investing


Edition: 14th
Authors:
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ixi12ixi12
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2 years ago
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Just got PERFECT on my quiz
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