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  • 23-05-2023
  • Business
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A stock has a 30% standard deviation of return and a correlation coefficient with the S&P500 return of 0.6. S&P 500 has a standard deviation of 25%. Group of answer choices
The stock is risker than the S&P500.
The beta of the stock is 0.60
The undiversifiable risk of the stock is 18%.

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