The variance of stock a is .004, the variance of the market is .007
Question Question 1 The variance of Stock A is .004, the variance of the market is .007 and the covariance between the two is .0026. What is the correlation coefficient? A. .9285 B. .8542 C. .5010 D. .4913 E. .3510 2 points Save Answer Question 2 Which one of the following is an example of systematic risk? A. the price of lumber declines sharply B. […]