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    Exam 7: Optimal Risky Portfolios
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    For a Two-Stock Portfolio, What Would Be the Preferred Correlation
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For a Two-Stock Portfolio, What Would Be the Preferred Correlation

Question 10

Question 10

Multiple Choice

For a two-stock portfolio, what would be the preferred correlation coefficient between the two stocks


A) +1.00.
B) +0.50.
C) 0.00.
D) -1.00.
E) None of the options

Correct Answer:

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