Multiple Choice
The Mark IV Fund had a rate of return of 21% last year.If its beta weight was +0.6 and if the return on the overall market was 12%,its risk adjusted rate of return,RAROR,is
A) +19.5%.
B) - 3.0%.
C) +23.0%.
D) + 2.0%.
Correct Answer:

Verified
Correct Answer:
Verified
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