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The following data are available relating to the performance of Wildcat Fund and the market portfolio: Wildcat Market Portfolio Average return 18 % 15 %

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The following data are available relating to the performance of Wildcat Fund and the market portfolio: Wildcat Market Portfolio Average return 18 % 15 % Standard deviations of retums 25 % 20 % Beta 1.25 1.00 Residual standard deviation 2 % 0 % The risk-free return during the sample period was 7%. Calculate Treynor's measure of performance for Wildcat Fund. 0.01 0.088 0.44 0 0.50 0.61 D Question 3 1 pts Suppose you purchase one share of the stock of Cereal Correlation Company at the beginning of year 1 for 550. At the end of year 1. you receive a 5 dividend and buy one more share for $72. At the end of year 2. you receive total dividends of $2 e $1 for each 70F Mostly run Ado M 10/11/2021

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