amandy2277 amandy2277
  • 11-01-2024
  • Mathematics
contestada

Historically, consecutive-year return rates had a correlation of 0.57. Suppose that Stock A had a year1 return rate that was 4 standard deviations below the mean. How many standard deviations [above or below?] the mean would you predict for the year2 return rate for Stock A?

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