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Mathematics, 06.04.2020 16:29 bayloann3928
The standard deviation of the market-index portfolio is 35%. Stock A has a beta of 1.40 and a residual standard deviation of 45%. a. Calculate the total variance for an increase of 0.20 in its beta. (Do not round intermed)
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The standard deviation of the market-index portfolio is 35%. Stock A has a beta of 1.40 and a residu...
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