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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%?

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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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