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    Analysis of Investments
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    Exam 7: An Introduction to Portfolio Management
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    For a Two Stock Portfolio Containing Stocks I and J,the
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For a Two Stock Portfolio Containing Stocks I and J,the

Question 73

Question 73

True/False

For a two stock portfolio containing Stocks i and j,the correlation coefficient of returns (rᵢⱼ)is equal to the square root of the covariance (covᵢⱼ).

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