Multiple Choice
A portfolio has an average return of 12.4 percent,a standard deviation of 15.8 percent,and a beta of 1.35.The risk-free rate is 2.6 percent.What is the Sharpe ratio?
A) 0.49
B) 0.52
C) 0.62
D) 0.71
E) 0.75
Correct Answer:

Verified
Correct Answer:
Verified
Related Questions
Q23: Which one of the following is the
Q24: A portfolio has an expected return of
Q26: Which one of the following values would
Q31: A portfolio has a Sharpe ratio of
Q32: A portfolio has an average return of
Q33: A portfolio has a standard deviation of
Q53: You are considering the purchase of a
Q84: Which one of the following assesses risk
Q89: The Sharpe ratio measures a security's return
Q101: Which one of the following measures a