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Phil Has a Portfolio with a 13

Question 71

Multiple Choice

Phil has a portfolio with a 13.2% total return. The beta of the portfolio is 1.48 and the standard deviation is 13%. Currently, the risk-free rate of return is 4% and the overall market has a total return of 11%. What is the value of Treynor's measure for Phil's portfolio?


A) 2.1%
B) 6.2%
C) 7.1%
D) 8.9%

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