The variance of Stock A is .0072, the variance of the market is .005 and the covariance
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Question:
The variance of Stock A is .0072, the variance of the market is .005 and the covariance
between the two is .0054.
What is the correlation coefficient between Stock A and the market?
What is beta of the stock?
Related Book For
Data Analysis and Decision Making
ISBN: 978-0538476126
4th edition
Authors: Christian Albright, Wayne Winston, Christopher Zappe
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