The ideal correlation for portfolio construction is: a. +1.0. b. - 10, c. 0.0, d. +0.70.

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The ideal correlation for portfolio construction is:

a. +1.0.

b. - 10,

c. 0.0,

d. +0.70.

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Fundamentals Of Financial Planning

ISBN: 9781936602094

3rd Edition

Authors: Michael A Dalton, Joseph Gillice

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