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
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Find the area of a parallelogram with the given vertices. p(-2, -5), q(9, -5), r(1, 5), s(12, 5)
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Mathematics, 21.06.2019 22:00
Melanie is buying a bathing suit that costs 39.99. she is given a discount at the cash register of $6.00 when she scratched 15% off on a game piece for a store promotion. what will the sale price of melanie’s bathing suit be?
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Mathematics, 21.06.2019 22:30
Adistribution has the five-number summary shown below. what is the third quartile, q3, of this distribution? 22, 34, 41, 55, 62
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Mathematics, 21.06.2019 23:50
Write the standard form of an equation with (see picture below)
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Aportfolio generates an annual return of 13%, a beta of .7, and a standard deviation of 17%. the mar...
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