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A Portfolio Has a Standard Deviation of 14

Question 14

Multiple Choice

A portfolio has a standard deviation of 14.1 percent, a beta of 1.45 and a Treynor ratio of .094. The risk-free rate is 3.2 percent. What is the portfolio's expected rate of return?


A) 16.83 percent
B) 17.25 percent
C) 17.77 percent
D) 18.41 percent
E) 18.56 percent

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