Economy Probability Return Stock A. Return Stock B Good. 20% 20%. 30% Normal. 50%. 15%. 10% bad. 30%....

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Finance

Economy Probability Return Stock A. Return Stock B
Good. 20% 20%. 30%
Normal. 50%. 15%. 10%
bad. 30%. 10%. 5%

What are the expected return and standard deviation of stock Aand B?

Whats the correlation coefficient betweennthe twostocks?

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