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Intro The correlation between the return on a stock and the market portfolio is 0.1. The stock has a standard deviation of 46% and the

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Intro The correlation between the return on a stock and the market portfolio is 0.1. The stock has a standard deviation of 46% and the market portfolio has a standard deviation of 14%. - Attempt 1/10 for 10 pts. Part 1 What is the stock's beta? 13+ decimals Submit

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