Your portfolio has a beta equal to 1.7 lt returned 12.5% last year. The market...

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Your portfolio has a beta equal to 1.7 lt returned 12.5% last year. The market returned 11.0%; sk-free rate is 2.9% alculate Tre nors measure for your portfolio and the market Did you earn a better return than the e market given the risk you took? The Treynor's measure for your portfolio is (Round to two decimal places.) The Treynor's measure for the market isRound to two decimal places.) Your portfolio's performance is to the markef's performance. (Select from the drop-down menu.)

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