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I have a document that I need to finish for extra credit in my class and I need to figure out the mean return for

periods spanning 9 years, the variance of the returns and the standard deviation of the returns. After that the correlation coefficient between three companies and the market, standard deviation of the index, standard deviation of a company, etc, etc, etc. Can you please help? Chris

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knightbridge course hero.xlsx

Year Return,
Knightsbridge
2015
2014
2013
2012
2011
2010
2009
2008
2007
2006 a
b
c Mean
Variance
Std Dev 2.25%
1.07%
-4.15%
-10.75%
21.55%
8.47%
0.57%
9.55%
8.62%
2.11%
3.93%
0.007
0.083 Year...

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