Question: Please help me finishing part b and c: Using the data in the table (attached on the bottom), estimate the: a. Average return and volatility
Please help me finishing part b and c:
Using the data in the table (attached on the bottom), estimate the:
a. Average return and volatility for each stock. I HAVE COMPLETED PART a) and received the following (correct) results:
b. Covariance between the stocks.
c. Correlation between these two stocks.

a. Estimate the average return and volatility for each stock The average return of stock A is 2 (Round to two decimal places.) The average return of stock B is 12.33 (Round to two decimal places.) The standard deviation of stock A is 0.07924 (Round to five decimal places.) The standard deviation of stock B is 0.17166 (Round to five decimal places.)
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