Over the past year, the HIR Fund had a return of 7.8%, while its benchmark, the S&P 500 index, had a return of 7.2%. Over this period, the fund's volatility was 11.3%, while the S&P index's volatility was 10.7% and the fund's TEV was 1.25%. Assume a risk-free rate of 3%. What is the information Ratio for the HIR Fund?
  A. 0.480
  B. 0.425
  C. 3.840
  D. 1.200
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