Question

The table below shows the annual returns from the U.S. stock market (RM) and from company...

The table below shows the annual returns from the U.S. stock market (RM) and from company XYZ's stocks (RXYZ) in the past seven years.  

Year RM RXYZ
2010 15% 12%
2011 2% 55%
2012 16% 4%
2013 32% 6%
2014 14% 9%
2015 1% -13%
2016 12% 61%

What is the market risk, measure as beta, of Company XYZ?

Note: Use a financial calculator to find beta. Do not use the rise-over-run approach. Keep 4 decimal places. For example, if your answer is beta = -0.1234, enter "-0.1234".  

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Answer #1

Beta is calculated by the formula Covariance(rxyz,rrm)/Variance rrm

By using a financial calculator beta is given by b and the ans is -0.6832

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