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    Principles of Corporate Finance Study Set 5
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    Exam 8: Portfolio Theory and the Capital Asset Pricing Model
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    The Correlation Between the Efficient Portfolio and the Risk-Free Asset
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The Correlation Between the Efficient Portfolio and the Risk-Free Asset

Question 27

Question 27

Multiple Choice

The correlation between the efficient portfolio and the risk-free asset is:


A) +1
B) -1
C) 0
D) cannot be calculated

Correct Answer:

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