ECONOMICS
RISK AND RETURN
Question
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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!
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0.1
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0.3
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0.06
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0.04
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Explanation:
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