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A stock has a market beta of 0.73 and a volatility of 36%. If the market volatility is 31% what is the correlation between the
A stock has a market beta of 0.73 and a volatility of 36%. If the market volatility is 31% what is the correlation between the stock return and the market return? A. 0.85 B. 0.63 C. 0.15 D. 0.08
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