Multiple Choice
TABLE 13-7
An investment specialist claims that if one holds a portfolio that moves in the opposite direction to the market index like the S&P 500, then it is possible to reduce the variability of the portfolio's return. In other words, one can create a portfolio with positive returns but less exposure to risk. A sample of 26 years of S&P 500 index and a portfolio consisting of stocks of private prisons, which are believed to be negatively related to the S&P 500 index, is collected. A regression analysis was performed by regressing the returns of the prison stocks portfolio (Y) on the returns of S&P 500 index (X) to prove that the prison stocks portfolio is negatively related to the S&P 500 index at a 5% level of significance. The results are given in the following EXCEL output.
-Referring to Table 13-7, which of the following will be a correct conclusion?
A) We can reject the null hypothesis and, therefore, conclude that there is sufficient evidence to show that the prisons stock portfolio and S&P 500 index are negatively related.
B) We can reject the null hypothesis and conclude that there is not sufficient evidence to show that the prisons stock portfolio and S&P 500 index are negatively related.
C) We cannot reject the null hypothesis and, therefore, conclude that there is not sufficient evidence to show that the prisons stock portfolio and S&P 500 index are negatively related.
D) We cannot reject the null hypothesis and, therefore, conclude that there is sufficient evidence to show that the prisons stock portfolio and S&P 500 index are negatively related.
Correct Answer:

Verified
Correct Answer:
Verified
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