【FRM每日一题】一级:风险管理&定量
备考FRM一级 | 2015-11-17
An analyst has compiled the following information on a portfolio:l Sortino Ratio: 0.82
l Beta: 1.15
l Expected return: 12.75%
l Standard deviation: 11.9%
l Risk-free rate: 4.75%
What is the semi-standard deviation of the portfolio return?
A. 0.4%
B. 8.2%
C. 14.9%
D. 9.75%
Answer: D
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