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A stock has a mean return of 6%, If the mean return on the market portfolio is 9%. The risk-free rate is 5%. The standard
A stock has a mean return of 6%,
If the mean return on the market portfolio is 9%.
The risk-free rate is 5%.
The standard deviation of the stock price return is 5%, and the standard deviation of the market portfolio is 8%.
What is Sharpe ratio of the stock?
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