Using the following historical data, what was AMZN's Sharpe ratio over the last 5 years, if...
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Using the following historical data, what was AMZN's Sharpe ratio over the last 5 years, if the risk free rate over the same period averaged 0.6%? (Reminder: Use the geometric mean). Adj. Closing Price $ 659.59 Date 4/1/16 4/1/17 4/1/18 4/1/19 4/1/20 4/1/21 $924.99 $ 1,566.13 $ 1,926.52 $2,474.00 $ 3,279.39 If GME has a beta of 1.9 and standard deviation of 50%, while IBM has a beta of 1.9 and standard deviation of 12%, how do their costs of capital compare in a CAPM world: IBM's cost of capital = GME's cost of capital IBM's cost of capital > GME's cost of capital OGME's cost of capital > IBM's cost of capital The volatility of a diversified portfolio, like the S&P500 index, is determined entirely by the individual assets': Using the following historical data, what was AMZN's Sharpe ratio over the last 5 years, if the risk free rate over the same period averaged 0.6%? (Reminder: Use the geometric mean). Adj. Closing Price $ 659.59 Date 4/1/16 4/1/17 4/1/18 4/1/19 4/1/20 4/1/21 $924.99 $ 1,566.13 $ 1,926.52 $2,474.00 $ 3,279.39 If GME has a beta of 1.9 and standard deviation of 50%, while IBM has a beta of 1.9 and standard deviation of 12%, how do their costs of capital compare in a CAPM world: IBM's cost of capital = GME's cost of capital IBM's cost of capital > GME's cost of capital OGME's cost of capital > IBM's cost of capital The volatility of a diversified portfolio, like the S&P500 index, is determined entirely by the individual assets':
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