Park Corporations stock has a return standard deviation of 60%, while the market return standard deviation is

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Park Corporation’s stock has a return standard deviation of 60%, while the market return standard deviation is 20%. If the correlation between Park and the market is 0.40, what is Park’s beta? (1.2)
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Financial Management Theory And Practice

ISBN: 9781439078105

13th Edition

Authors: Eugene F. Brigham, Michael C. Ehrhardt

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