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You are given the following end of year price and dividend information for Johnson and Johnson stock. Assume that an investor invested $1 in 2005, calculate the value of this investment at the end of 2012. (Round to 4 decimals).
Year Price Div
2005 61.85 1.31
2006 65.91 1.46
2007 67.62 1.62
2008 57.66 1.79
2009 62.95 1.93
2010 62.18 2.11
2011 64.68 2.25
2012 69.8 2.4
where the number in parentheses is the standard error of the slope estimate. The sample size used is n = 18. Is there evidence of a linear relationship between returns and book to market value?
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