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2) (30 points) You are given joint probability distribution of stock and bond returns below. What is the covariance between stock and bond returns? f(S,B)

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2) (30 points) You are given joint probability distribution of stock and bond returns below. What is the covariance between stock and bond returns? f(S,B) -0.01 Stock return (S) -0.04 0.08 0.2 0.4 Bond Return (B) 0.03 0.3 0.1

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