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1a. If the correlation coefficient between assets if a portfolio is .9, what is the systematic risk? 1b. The return of an asset has a
1a. If the correlation coefficient between assets if a portfolio is .9, what is the systematic risk?
1b. The return of an asset has a 0.60 chance of being 4% and 0.1 of being 9%. What is expected return of the asset?
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