Multiple Choice
What is the alpha of a portfolio with a beta of 2 and actual return of 15%?
A) 0%
B) 13%
C) 15%
D) 17%
Correct Answer:

Verified
Correct Answer:
Verified
Related Questions
Q19: Which of the following are assumptions of
Q24: The measure of unsystematic risk can be
Q35: Consider the single factor APT. Portfolio A
Q45: A stock has a beta of 1.3.The
Q46: According to the CAPM,investors are compensated for
Q49: The two factor model on a stock
Q54: Consider the following two stocks,A and B.Stock
Q55: What is the expected return on a
Q82: The graph of the relationship between expected
Q84: An adjusted beta will be _ than