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Rotman Commerce (1,103)
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Lecture

Q2 Correlation and Diversification II (Hard)

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Department
Rotman Commerce
Course
RSM332H1
Professor
All Professors
Semester
Fall

Description
Diversification and Correlation II (Hard) An investor currently owns Brown Co. and is thinking of adding either James Co. or Beta Co. to his holdings. All three stocks offer the same expected return and total risk. The correlation of returns between Brown Co. and James Co. is 09.5 and the correlation between Brown
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