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The covariance between Twitter, Inc.'s (Ticker: TWTR) returns and the market's returns is 0.001580119. The variance of the market's returns is 0.001890444. Calculate and interpret

The covariance between Twitter, Inc.'s (Ticker: TWTR) returns and the market's returns is 0.001580119. The variance of the market's returns is 0.001890444. Calculate and interpret Twitter, Inc.'s beta. Round your answer to two decimal places.

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