Q. Analysis carried out on the performance of a fund for last year is compiled as under:Total selectivity 2.50% Net selectivity 1.53% of portfolio 0.90 Return on market index 13.00% Standard deviation of market returns 13.50% Risk free return, Rf 8.00% The total risk ( i) of portfolio is (Solved)

1. 11.1%

2. 12.2%

3. 13.8%

4. 14.8%

  • d. 14.8%
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