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Given that the expected returns of stocks A and B are 109 and -10% respectively, what is the covariance of return between these stocks? Year

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Given that the expected returns of stocks A and B are 109 and -10% respectively, what is the covariance of return between these stocks? Year Return A Return 2017 55% 85% 2016 30% -20% 2015 10% 30% 0.0067 0.1000 -0.1000 10.00 None of the listed items is correct

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