Top Posters
Since Sunday
g
3
3
2
J
2
p
2
m
2
h
2
s
2
r
2
d
2
l
2
a
2
New Topic  
Cell6 Cell6
wrote...
Posts: 119
Rep: 0 0
2 years ago
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%.
Textbook 
Fundamentals of Investing

Fundamentals of Investing


Edition: 14th
Authors:
Read 44 times
1 Reply
Replies
Answer verified by a subject expert
moon21cmoon21c
wrote...
Posts: 131
Rep: 0 0
2 years ago
Sign in or Sign up in seconds to unlock everything for free
More solutions for this book are available here
1

Related Topics

Cell6 Author
wrote...

2 years ago
This calls for a celebration Person Raising Both Hands in Celebration
wrote...

Yesterday
This helped my grade so much Perfect
wrote...

2 hours ago
Thanks
New Topic      
Explore
Post your homework questions and get free online help from our incredible volunteers
  1127 People Browsing
 137 Signed Up Today
Related Images
  
 303
  
 186
  
 351
Your Opinion
Which 'study break' activity do you find most distracting?
Votes: 741

Previous poll results: What's your favorite math subject?