FIN MCQ
FIN 332
Investing in two assets with a correlation coefficient of 1.0 will reduce which kind of risk?
Investing in two assets with a correlation coefficient of 1.0 will reduce which kind of risk?
Investing in two assets with a correlation coefficient of 1.0 will reduce which kind of risk?
A) Market risk
B) Unique risk
C) Unsystematic risk
D) None of the above
Answer: D
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