Multiple Choice
Florida Company (FC) and Minnesota Company (MC) are both service companies. Their stock returns for the past three years were as follows: FC: −5 percent, 15 percent, 20 percent; MC: 8 percent, 8 percent, 20 percent.
Calculate the correlation coefficient between the returns of FC and MC.
A) 0.000
B) −0.655
C) +0.655
D) +0.500
Correct Answer:

Verified
Correct Answer:
Verified
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