IFC - Investment Funds in Canada Practice Test

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IFC - Investment Funds in Canada Analyzing Mutual Fund Performance Questions and Answers

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An investor is comparing two Canadian equity funds. Fund A generated a 12% return with a standard deviation of 15%. Fund B generated a 10% return with a standard deviation of 8%. Assuming a risk-free rate of 2%, which performance metric is most appropriate for determining which fund delivered a better risk-adjusted return?
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