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The systematic risk of a portfolio containing a stock and a bond, reflects a measure of the correlation between the _______ and the __________. A:

The systematic risk of a portfolio containing a stock and a bond, reflects a measure of the correlation between the _______ and the __________.

A: the stock/bond portfolio and the stock/bond market indexes

B: the bond and the bond market index

C: the stock market index and the bond market index

D:the stock and the stock market index

E: the stock and the bond

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