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The variance of return on investment A is 144 percent squared while the variance of return on investment B is 225 percent squared. If the

The variance of return on investment A is 144 percent squared while the variance of return on investment B is 225 percent squared. If the covariance of returns on A and B is 150 percent squared, the correlation coefficient between the returns on A and B is closest to:

  • A. 187.5
  • B. 0.0046
  • C. 1.2
  • D. 0.83

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