- The Risky Portfolio Has An Expected Return Of 15 Per Year And A Standard Deviation Of 20 Per Year If The Risk Free In 1 (20.29 KiB) Viewed 10 times
The risky portfolio has an expected return of 15% per year and a standard deviation of 20% per year. If the risk-free in
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The risky portfolio has an expected return of 15% per year and a standard deviation of 20% per year. If the risk-free in
The risky portfolio has an expected return of 15% per year and a standard deviation of 20% per year. If the risk-free interest rate is 4% per year, what is the portfolio's Sharpe ratio? 1) 0.85 2) 0.65 3) 0.75 4) 0.45 5) 0.55