Multiple Choice
The annual return for three years for stock B comes out to be 0%, 10% and 26%. Annual returns for three years for the market portfolios are +6%, 18%, 24%. Calculate the beta for the stock.
A) 0.74
B) 1.36
C) 1.0
D) None of the above
Correct Answer:

Verified
Correct Answer:
Verified
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