MCQOPTIONS
Saved Bookmarks
| 1. |
The 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 | |