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correlation coefficient between Stock B and the market, 0.6; standard deviation for stock A, 25 percent; standard deviation for stock B, 30 percent. Calculate the

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correlation coefficient between Stock B and the market, 0.6; standard deviation for stock A, 25 percent; standard deviation for stock B, 30 percent. Calculate the beta for stock A. Answer to four decimal places. Calculate the beta for stock B. Answer to four decimal places. Calculate the required return for A. Answer in percent form. Calculate the required return for B. Answer in percent form

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