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The risk - free rate is 2 % and the total return on the Market Portfolio is 1 0 % . The risk of the

The risk-free rate is 2% and the total return on the Market Portfolio is 10%. The risk of the Market Portfolio, measured by its standard deviation, is 18%.
You are considering whether to include Stock A in your Active Portfolio. Stock A's return is 15%, its variance is 0.05, and its beta is 1.2.
What is Stock As information ratio?
Enter your answer to 2 decimal places eg if your answer is 0.457 enter as 0.46. If your answer is 0.4 enter as 0.40

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