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Over the Period 2014-2018, Most Correlations Between the U

Question 5

Multiple Choice

Over the period 2014-2018, most correlations between the U.S. stock index and stock-index portfolios of other countries were


A) negative.
B) positive but less than 0.9.
C) approximately zero.
D) 0.9 or above.
E) None of the options are correct.

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