Comparable numbers of stock b are 14 and 094 which stock is


The annual standard deviation of return on Stock A's equity is 37% and the correlation coefficient of these returns, with those on a well diversified portfolio, is 0.62. Comparable numbers of Stock B are 14% and 0.94. Which stock is riskier and why?

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Financial Management: Comparable numbers of stock b are 14 and 094 which stock is
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