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The Table Below Shows Selected Financial Data for the Turtle

Question 95

Multiple Choice

The table below shows selected financial data for the Turtle Income fund, the Hare Growth fund, the market portfolio and the risk free asset. Calculate the Treynor Index for each of the funds. How do the Treynor Index measures for the two funds compare to the Market's Treynor Index value?  Turtle  Hare  Market  Risk Free  Expected  Return 10%13%12%5% Std Dev. 8.5%17.9%11.9%0% Beta 0.71431.410\begin{array} { | c | c | c | c | c | } \hline & \text { Turtle } & \text { Hare } & \text { Market } & \text { Risk Free } \\\hline \begin{array} { c } \text { Expected } \\\text { Return }\end{array} & 10 \% & 13 \% & 12 \% & 5 \% \\\hline \text { Std Dev. } & 8.5 \% & 17.9 \% & 11.9 \% & 0 \% \\\hline \text { Beta } & 0.7143 & 1.4 & 1 & 0 \\\hline\end{array}


A) Turtle < Hare < Market
B) Turtle < Hare = Market
C) Hare < Turtle < Market
D) Hare < Turtle = Market
E) Market < Hare < Turtle

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