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What is the correlation of coefficient between Stock E and Stock F. The portfolio which is comprised of $6,000 invested in stock E and $4,000
What is the correlation of coefficient between Stock E and Stock F. The portfolio which is comprised of $6,000 invested in stock E and $4,000 in stock F? Economy Probability Returns Returns Stock E Stock F Boom 30% -2% 12% Normal 50% 8% 10% Recession 20% 13% -3% -0.942 -0.802 -0.742 -0.002
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