Question: we dont know the W from this question..... not given..... Part b) The correlation coefficient between shares A and B is + 0.5, while the
Part b) The correlation coefficient between shares A and B is + 0.5, while the correlation coefficient between shares A and C is -0.5. You already own share A and are thinking of buying either share B or share C. If you want your portfolio to have the lowest possible risk would you buy share B or C
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