AAFM CWM_LEVEL_2 Question Answer
Section A (1 Mark)
The covariance of the market returns with the stocks returns is 0.008. The standard deviation of the market is 8% and standard deviation of stock’s return is 11%. What is the correlation coefficient between stocks and market returns?
AAFM CWM_LEVEL_2 Summary
- Vendor: AAFM
- Product: CWM_LEVEL_2
- Update on: Jul 30, 2025
- Questions: 1259