A portfolio has a variance of 021904 a beta of 87 and an
A portfolio has a variance of .021904, a beta of .87, and an expected return of 10.1 percent. What is the Treynor ratio if the expected risk-free rate is 3.9 percent?
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a portfolio has a variance of 021904 a beta of 87 and an expected return of 101 percent what is the treynor ratio if
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