Solved

A Portfolio Has a Treynor Ratio of 0

Question 77

Multiple Choice

A portfolio has a Treynor ratio of 0.070,a standard deviation of 16.40 percent,a beta of 1.16,and an expected return of 14.3 percent.What is the risk-free rate?


A) 1.32 percent
B) 5.21 percent
C) 5.39 percent
D) 6.18 percent
E) 6.41 percent

Correct Answer:

verifed

Verified

Unlock this answer now
Get Access to more Verified Answers free of charge

Related Questions