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El rendimiento esperado de una cartera de dos activos con un coeficiente de correlacin de 0,35 ser _______________ el rendimiento esperado promedio ponderado de la
El rendimiento esperado de una cartera de dos activos con un coeficiente de correlacin de 0,35 ser _______________ el rendimiento esperado promedio ponderado de la cartera.
A - arriba
B - Abajo
C - Igual a
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