man.1   The standard deviation for Stock A is 13.01%. The standard deviation for the market is 15.65%. The Correlation Coefficient of Stock A and the market is .5526. Calculate the Beta for Stock A.

Intermediate Financial Management (MindTap Course List)
13th Edition
ISBN:9781337395083
Author:Eugene F. Brigham, Phillip R. Daves
Publisher:Eugene F. Brigham, Phillip R. Daves
Chapter3: Risk And Return: Part Ii
Section: Chapter Questions
Problem 1P: The standard deviation of stock returns for Stock A is 40%. The standard deviation of the market...
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The standard deviation for Stock A is 13.01%. The standard deviation for the market is 15.65%. The Correlation Coefficient of Stock A and the market is .5526. Calculate the Beta for Stock A.

 

 

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