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    Exam 8: An Introduction to Asset Pricing Models
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    The Correlation Coefficient Between the Market Return and a Risk-Free\(\infty\)
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The Correlation Coefficient Between the Market Return and a Risk-Free ∞\infty∞

Question 60

Question 60

Multiple Choice

The correlation coefficient between the market return and a risk-free asset would


A) be + ∞\infty∞ .
B) be - ∞\infty∞ .
C) be +1.
D) be -1.
E) be Zero.

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