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Business, 20.12.2021 01:30 abieber4328

A portfolio has an average return of 13.3 percent, a standard deviation of 26.1 percent, and a beta of 1.1. The risk-free rate is 2 percent. What is the Sharpe ratio

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A portfolio has an average return of 13.3 percent, a standard deviation of 26.1 percent, and a beta...

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