Mathematics, 19.12.2019 05:31 anrs14
Aportfolio generates an annual return of 13%, a beta of .7, and a standard deviation of 17%. the market index return is 14% and has a standard deviation of 21%. what is the m2 measure of the portfolio relative to the market if the risk-free rate is 5%?
Answers: 3
Mathematics, 21.06.2019 19:10
In the triangles, bc =de and ac fe.if the mzc is greater than the mze, then ab isdfelth
Answers: 2
Mathematics, 22.06.2019 00:30
Triangle abc has side lengths: ab = 3.5 cm, bc = 2.4 cm, and ac = 4.2 cmδabc ≅ δhjkwhat is the length of side hj?
Answers: 1
Mathematics, 22.06.2019 02:00
Thirteen bowlers were asked what their score was on their last game. the scores are shown below 190,150,154,194,181,190,170,151,170,178,161,180 find the range of the bowlers score a.56 b.44 c.34 d.23
Answers: 1
Aportfolio generates an annual return of 13%, a beta of .7, and a standard deviation of 17%. the mar...
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