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    Exam 11: Return Amcq Risk: the Capital Asset Pricing Model Capm
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    The Variance of Stock a Is 0
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The Variance of Stock a Is 0

Question 5

Question 5

Multiple Choice

The variance of Stock A is 0.007242,the variance of Stock B is 0.020504,and the covariance between the two is 0.0019.What is the correlation coefficient?


A) 0) 1487
B) 0) 0929
C) 0) 0891
D) 0) 1559
E) 0) 1643

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