ECONOMICS (CBSE/UGC NET)

ECONOMICS

RISK AND RETURN

Question [CLICK ON ANY CHOICE TO KNOW THE RIGHT ANSWER]
Two stocks with the following criteria:Share A returns four years 10%;-30%;10%;15%Share B returns four years -10%;5.5%;15%;12.5% The respective weights during the year are 55% and 45%. Determine the correlation coefficient of the two stocks!
A
0.1
B
0.3
C
0.06
D
0.04
Explanation: 
There is 1 question to complete.