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Asset A has return of 10%, 18.5%, 3.6%, -2%, 26% and 15% over the last 6 years. Asset B has 5%, 3.3%, 6.7%, 3.8%, 2%

Asset A has return of 10%, 18.5%, 3.6%, -2%, 26% and 15% over the last 6 years. Asset B has 5%, 3.3%, 6.7%, 3.8%, 2% and 4.5% over the same period. What is the average return and standard deviation for both assets? What is the correlation coefficient between the two assets?

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