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Theoretically, the Correlation Coefficient Between a Completely Diversified Portfolio and the Market
Multiple Choice
Theoretically, the correlation coefficient between a completely diversified portfolio and the market portfolio should be
A) -1.0.
B) +1.0.
C) 0.0.
D) -0.5.
E) +0.5.
Correct Answer:

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Correct Answer:
Verified
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