What is the beta of stock x

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You are given the following information about stock X and the market portfolio, M:

 

Expected return

Standard deviation

Stock X

0.13

0.31

Market portfolio

0.07

0.17

You also know that the correlation between the returns of stock X and the market portfolio is equal to 0.38.

What is the beta of Stock X?

Please provide an answer that is accurate to at least four decimal places

Reference no: EM133121147

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