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If the correlation between stock A and the market it 0.6, and the standard deviation for stock A and the market is 12% and 15%.

If the correlation between stock A and the market it 0.6, and the standard deviation for stock A and the market is 12% and 15%. What is the beta of stock A? a. 0.75 b. 0.48 c. 0.6 d. 1

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