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The following data are available relating to the performance of Monarch Stock Fund and the market portfolio: Average return Standard deviations of returns Beta Residual

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The following data are available relating to the performance of Monarch Stock Fund and the market portfolio: Average return Standard deviations of returns Beta Residual standard deviation Market Monarch Portfolio 16% 12% 26% 22% 1.15 1.00 1% 0% The risk-free return during the sample period was 4%. What is the information ratio measure performance evaluation for Monarch Stock Fund? Multiple Choice 1.00% None of the options are correct 50.00% 44.00% 280.00%

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