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    Microeconomics Study Set 23
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    Exam 5: Uncertainty and Consumer Behavior
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    The Correlation Between an Asset's Real Rate of Return and Its
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The Correlation Between an Asset's Real Rate of Return and Its

Question 55

Question 55

Multiple Choice

The correlation between an asset's real rate of return and its risk (as measured by its standard deviation) is usually:


A) positive.
B) strictly linear.
C) flat.
D) negative.
E) chaotic.

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