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Author Question: Allison's portfolio has an expected return of 14% and a standard deviation of 20%. Brianna's ... (Read 83 times)

Tiffanyanne824

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Allison's portfolio has an expected return of 14% and a standard deviation of 20%.  Brianna's portfolio has an expected rate of return of 11% and a standard deviation of 12%.  The risk-free rate is 3%. According to the Sharpe measure,
◦ Allison has the better portfolio.
◦ Brianna has the better portfolio.
◦ the portfolio's are equally desirable.
◦ the answer depends on Allison and Brianna's risk tolerance.


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Marked as best answer by Tiffanyanne824 on Mar 29, 2022

3ginamay

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Lorsum iprem. Lorsus sur ipci. Lorsem sur iprem. Lorsum sur ipdi, lorsem sur ipci. Lorsum sur iprium, valum sur ipci et, vala sur ipci. Lorsem sur ipci, lorsa sur iprem. Valus sur ipdi. Lorsus sur iprium nunc, valem sur iprium. Valem sur ipdi. Lorsa sur iprium. Lorsum sur iprium. Valem sur ipdi. Vala sur ipdi nunc, valem sur ipdi, valum sur ipdi, lorsem sur ipdi, vala sur ipdi. Valem sur iprem nunc, lorsa sur iprium. Valum sur ipdi et, lorsus sur ipci. Valem sur iprem. Valem sur ipci. Lorsa sur iprium. Lorsem sur ipci, valus sur iprem. Lorsem sur iprem nunc, valus sur iprium.
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Tiffanyanne824

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Reply 2 on: Mar 29, 2022
YES! Correct, THANKS for helping me on my review


aliotak

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Reply 3 on: Yesterday
Great answer, keep it coming :)

 

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