Multiple Choice
The historical returns data for the past three years for Stock B and the stock market portfolio are: Stock B: 24%, 0%, 24%, Market Portfolios: 10%, 12%, 20%. Calculate the covariance of returns between Stock B and the market portfolio.
A) 24
B) 28
C) 292
D) None of the above
Correct Answer:

Verified
Correct Answer:
Verified
Related Questions
Q5: Firms with high operating leverage tend to
Q46: Risky projects can be evaluated by discounting
Q56: Cost of capital is the same as
Q57: On a graph with common stock returns
Q58: The risk-free rate is 4%, the market
Q60: The historical returns data for the past
Q61: An example of diversifiable risk that should
Q63: The cost of capital for a project
Q64: Which of the following types of projects
Q69: Briefly explain how a firm's cost of