MCQOPTIONS
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				| 1. | 
                                    An average return of portfolio divided by its standard deviation is classified as | 
                            
| A. | Jensen's alpha | 
| B. | Treynor's variance to volatility ratio | 
| C. | Sharpe's reward to variability ratio | 
| D. | Treynor's reward to volatility ratio | 
| Answer» D. Treynor's reward to volatility ratio | |