Question

Monarch Market Portfolio
Average return 16 % 12 %
Standard deviations of returns 26 % 22 %
Beta 15 1.00
Residual standard deviation 1 % 0 %

42) The following data are available relating to the performance of Monarch Stock Fund and the market portfolio:

The risk-free return during the sample period was 4%.

What is the information ratio measure of performance evaluation for Monarch Stock Fund?

A) 1.00%

B) 280.00%

C) 44.00%

D) 50.00%

E) None of the options are correct.

Answer

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