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Kelli Blakely is a portfolio manager for the Miranda Fund (Miranda), a core large-cap equity fund. The market proxy and benchmark for performance measurement purposes
Kelli Blakely is a portfolio manager for the Miranda Fund (Miranda), a core large-cap equity fund. The market proxy and benchmark for performance measurement purposes is the S&P 500. Although the Miranda portfolio generally mirrors the asset class and sector weightings of the S&P, Blakely is allowed a significant amount of leeway in managing the fund. Her portfolio holds only stocks found in the S&P 500 and cash.
Blakely was able to produce exceptional returns last year (as outlined in the table below) through her market-timing and security selection skills. At the outset of the year, she became extremely concerned that the combination of a weak economy and geopolitical uncertainties would negatively impact the market. Taking a bold step, she changed her market allocation. For the entire year her asset class exposures averaged 50% in stocks and 50% in cash. The S&Ps allocation between stocks and cash during the period was a constant 97% and 3%, respectively. The risk-free rate of return was 2%.
One-Year Trailing Returns
Miranda Fund S&P 500
Return 10.2 % 22.5 %
Standard deviation 37 % 44 %
Beta 1.10 1.00
a. What are the Sharpe ratios for the Miranda Fund and the S&P 500? (Negative values should be indicated by a minus sign. Do not round intermediate calculations. Round your answers to 4 decimal places.)
Sharpe Ratio
Miranda fund
S&P 500
b. What is the M2 measure for Miranda? (Do not round intermediate calculations. Roundyour answerto 2 decimal places.)
M2 measure %
c. What is the Treynor measure for the Miranda Fund and the S&P 500? (Negative values should be indicated by a minus sign. Do not round intermediate calculations. Round your answersto 4 decimal places.)
Treynor Measure
Miranda
S&P 500
d. What is the Jensen measure for the Miranda Fund? (Do not round intermediate calculations. Round your answer to 4 decimal places.)
Jensen measure
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