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Based on the information in the table below, calculate and rank the correlation of the asset's return with the return on the market portfolio (from

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Based on the information in the table below, calculate and rank the correlation of the asset's return with the return on the market portfolio (from high to low). Stock A B Beta Expected Standard Return Deviation 1 8.500% 10.20% 10.500% 16.80% 1.02 8.410% 8.00% 1.4 C, A, B A, B, C C, B, A A, C, B B, C, A

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