Question

Boris stock has an average return of 15 percent. Its beta is 1.5. Its standard deviation of returns is 25 percent. The average risk-free rate is 6 percent. The Sharpe index for Boris stock is

a. 0.35.

b. 0.36.

c. 0.45.

d. 0.28.

e. None of these are correct.

Answer

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