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A Portfolio Consists of the Following Two Funds What Is the Sharpe Ratio of the Portfolio?
A)

question 79

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A portfolio consists of the following two funds:
 Fund A  Fund B  Expected Return 16%9% Standard deviation 21%11% Portfolio market value $27,000$33,000Weight45%55%CorrelationRA,RB0.21 Rigk-free rate 2.5%\begin{array}{lrr}&\text { Fund A }& \text { Fund B }\\\text { Expected Return } & 16 \% & 9\% \\\text { Standard deviation } & 21 \% & 11\% \\\text { Portfolio market value } & \$ 27,000 & \$ 33,000\\\text {Weight}&45\%&55\%\\\text {Correlation}{R}_A,{R}_B&0.21\\\text { Rigk-free rate }&2.5\%\end{array}
What is the Sharpe ratio of the portfolio?

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Definitions:

Experimental Methods

Experimental Methods are research methodologies that involve manipulating one variable to determine if changes in one variable cause changes in another variable, typically to establish causal relationships.

Two Variables

Refers to an analytical approach that examines the relationship or interaction between two different variables.

Experimental Design

A systematic method in research that aims to determine cause-and-effect relationships by manipulating one or more variables while keeping others constant.

Mood Condition

A temporary emotional state or atmosphere that influences an individual's well-being and psychological functioning.

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