If the returns of two stocks have a correlation of 1, what does this imply about the relative movements in the stock prices?
2. Download the data for Table 11.3 from MyLab Finance.
a. Compute the correlation of monthly returns between Stantec and Canadian Tire.
b. Compute the annual standard deviation of Stantec and Canadian Tire.
c. Compute the annual variance and standard deviation of a portfolio of 30% Stantec stock and 70% Canadian Tire stock.