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Stock A has a standard deviation of 20% and a correlation coefficient of 0.64 with market returns. The expected return of the market is 12%

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Stock A has a standard deviation of 20% and a correlation coefficient of 0.64 with market returns. The expected return of the market is 12% with a standard deviation of 15%. The risk-free rate is 5%. What is the beta of Stock A? O 0.48 O 0.85 O 1.33 O 0.75

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