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Question 3 (1 point) Assume the following information concerning a two-stock portfolio:

Question 3 (1 point) Assume the following information concerning a two-stock portfolio:
Stock X Stock Y

Percent of Portfolio 34% Please calculate it

Average annual return 11% 5%

Standard deviation of returns 9.93 15.49

Covariance of returns 9.87

Calculate the correlation coefficient of Stocks X and Stock Y .

Round the answers to four decimal places.

 
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