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Mathematics, 19.02.2021 04:30 Goosebumpsestoybox

Stock A has a variance of .1428 while Stock B’s variance is .0910. The covariance of the returns for these two stocks is −.0206. What is the correlation coefficient?

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Stock A has a variance of .1428 while Stock B’s variance is .0910. The covariance of the returns for...
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