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    Essentials of Investments
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    Exam 6: Efficient Diversification
  5. Question
    Investing in Two Assets with a Correlation Coefficient of -0
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Investing in Two Assets with a Correlation Coefficient of -0

Question 71

Question 71

Multiple Choice

Investing in two assets with a correlation coefficient of -0.5 will reduce what kind of risk?


A) Market risk
B) Non-diversifiable risk
C) Systematic risk
D) Unique risk

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