Question: Using the following correlation matrix, which two stocks would combine to make the lowest-risk portfolio? (Assume the stocks have equal risk and returns.) * B
Using the following correlation matrix, which two stocks would combine to make the lowest-risk portfolio? (Assume the stocks have equal risk and returns.) * B Stock A B +1 -0.59 +0.089 +1 -0.092 O C and C C A and B. C and B. B and B A and A O A and C A C
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