Question: If the correlation coefficient between the returns on Stock C and Stock D is 1 , the standard deviation of return for Stock C is

If the correlation coefficient between the returns on Stock C and Stock D is 1, the standard deviation of return for Stock C is 30 percent, and that for Stock D is 20 percent, calculate the covariance between Stock C and Stock D.
Multiple Choice
50%
600%
600%
50%

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