Asset a has an expected return of 21 and a standard


Asset A has an expected return of 21% and a standard deviation of 25%. The risk-free rate is 7%. What is the reward-to-variability ratio?

A.) 0.56

B.) 0.79

C.) 0.63

D.) 0.75

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Financial Management: Asset a has an expected return of 21 and a standard
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