The following information was given regarding a proposed project at Field Corp. (FC) .
-The W Equity portfolio has a standard deviation of returns of 8.The R Bond portfolio has a standard deviation of returns of 6.If the Cov of these portfolio is 5 what is this portfolio's coefficient of correlation?
A) 0.1042
B) 0.889
C) 0.43
D) -0.1042
Correct Answer:
Verified
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