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The correlation coefficient between PepsiCo stock and the market portfolio is 0.75 . The standard deviation of PepsiCo stock is 36% and that of the

image text in transcribed The correlation coefficient between PepsiCo stock and the market portfolio is 0.75 . The standard deviation of PepsiCo stock is 36% and that of the market is 12%. Calculate the beta of the PepsiCo stock. (Hint: Ch8) 0.032 3.000 0.250 2.250

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