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a) Calculate the main statistic measures to explain the relationship between stock A and the market portfolio: The sample covariance between rate of return for

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a) Calculate the main statistic measures to explain the relationship between stock A and the market portfolio: The sample covariance between rate of return for the stock A and the market; The sample Beta factor of stock A; The sample correlation coefficient between the rates of return of the stock A and the market; The sample coefficient of determination associated with the stock A and the market

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