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Consider the Empire stock return in the last three years: - 1 0 % , 2 0 % , and 5 % . a .

Consider the Empire stock return in the last three years: -10%,20%, and 5%.
a. Calculate the average return, and the return variance and standard deviation.
The Republic stock in the same years was: 4%,12% and 5%. Calculate the two stock
covariance and correlation coefficient.

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