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Homework answers / question archive / Stock M and Stock N have had the following returns for the past three years: -12%, 10%, 32%; and 15%, 6%, 24%, respectively

Stock M and Stock N have had the following returns for the past three years: -12%, 10%, 32%; and 15%, 6%, 24%, respectively

Finance

Stock M and Stock N have had the following returns for the past three years: -12%, 10%, 32%; and 15%, 6%, 24%, respectively. Calculate the covariance between the two securities:

a.       -99

b.      +99

c.       +250

d.      -250

pur-new-sol

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