Question: 10 pts Question 9 Stock A has a correlation with the market of 0.7. Assuming that the standard deviation of returns for Stock A is

10 pts Question 9 Stock A has a correlation with the market of 0.7. Assuming that the standard deviation of returns for Stock A is 15% and that the standard deviation of returns for the market is 10%, what is beta for Stock A? O 10.5 0 1.25 O 1.05 O 1.025
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