Multiple Choice
An investor has a $200,000 portfolio of which $120,000 has been invested in Stock A and the remainder in Stock B. Other characteristics of the portfolio are shown in the accompanying table. The correlation coefficient between the returns on Stocks A and B is ________.
A) -0.17
B) 0.20
C) 0.80
D) 4.97
Correct Answer:

Verified
Correct Answer:
Verified
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