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    Exam 7: Optimal Risky Portfolios
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    Consider the Following Probability Distribution for Stocks a and B
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Consider the Following Probability Distribution for Stocks a and B

Question 25

Question 25

Multiple Choice

Consider the following probability distribution for stocks A and B: Consider the following probability distribution for stocks A and B:   The coefficient of correlation between A and B is A) 0.474. B) 0.612. C) 0.590. D) 1.206. The coefficient of correlation between A and B is


A) 0.474.
B) 0.612.
C) 0.590.
D) 1.206.

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