Calculate the sharpe ratio for the stock
Problem
For stock ZZZ, the average excess return is 0.0544 (or 5.44%), and the variance of excess returns is 0.0117072. If the average risk-free rate is 0.0213 (or 2.13%) over the time period, calculate the Sharpe ratio for the stock.
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For stock ZZZ, the average excess return is 0.0544 (or 5.44%), and the variance of excess returns is 0.0117072. Calculate the Sharpe ratio for the stock.
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