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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)
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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