The us treasury bill is yielding 30 and the market has an
The U.S. Treasury bill is yielding 3.0% and the market has an expected return of 11.6%. What is the Treynor ratio of a correctly-valued portfolio that has a beta of 1.02, and a standard deviation of 12.2%?
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the us treasury bill is yielding 30 and the market has an expected return of 116 what is the treynor ratio of a
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