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    The Miller Fund's Correlation with the Market Is
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The Miller Fund's Correlation with the Market Is

Question 69

Question 69

Multiple Choice

The Miller Fund's correlation with the market is .648. What percentage of the fund's return can be explained by changes in the overall market?


A) 35%
B) 42%
C) 51%
D) 65%
E) 71%

Correct Answer:

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