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answer typed, not in spreadsheets What is the covariance between Stock 1 and Stock 2's returns? Expected Return Probability Stock 1 Stock 2 Good Economy

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What is the covariance between Stock 1 and Stock 2's returns? Expected Return Probability Stock 1 Stock 2 Good Economy 0.2 0.19 0.28 Okay Economy 0.5 0.11 0.05 Bad Economy 0.3 -0.06 -0.39

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