menu-iconExamlexExamLexServices

Discover

Ask a Question
  1. All Topics
  2. Topic
    Business
  3. Study Set
    Fundamentals of Corporate Finance Study Set 24
  4. Exam
    Exam 11: Introduction to Risk, Return, and the Opportunity Cost of Capital
  5. Question
    The Covariance of Two Stocks Was Calculated at -
Solved

The Covariance of Two Stocks Was Calculated at -

Question 86

Question 86

Multiple Choice

The covariance of two stocks was calculated at -.01733.If the standard deviation of the first stock is .106 and .164 for the second, determine the correlation.


A) -.997
B) -.887
C) -.687
D) -.587

Correct Answer:

verifed

Verified

Unlock this answer now
Get Access to more Verified Answers free of charge

Related Questions

Q27: Risk factors that are expected to affect

Q57: Average returns on high-risk assets are higher

Q81: If a share of stock provided a

Q82: The primary difference between Canadian Treasury bills

Q83: Calculate the nominal return, real return,

Q85: Which of the following statements seems most

Q88: Real rates of return are typically less

Q89: Which of the following risks would be

Q91: Which of the following risks is most

Q108: Discuss the concept of a "negative risk

Examlex

ExamLex

About UsContact UsPerks CenterHomeschoolingTest Prep

Work With Us

Campus RepresentativeInfluencers

Links

FaqPricingChrome Extension

Download The App

Get App StoreGet Google Play

Policies

Privacy PolicyTerms of ServiceHonor CodeCommunity Guidelines

Scan To Download

qr-code

Copyright © (2025) ExamLex LLC.

Privacy PolicyTerms Of ServiceHonor CodeCommunity Guidelines