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RiskCorp's annual stock return covariance with S&P500 has been 0.062 during the past 20 years. During this time, the standard deviation of S&P500 annual returns
RiskCorp's annual stock return covariance with S&P500 has been 0.062 during the past 20 years. During this time, the standard deviation of S&P500 annual returns was 0.285.
Estimate RiskCorp's beta based on this information.
RiskCorp's beta is ?
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