AAFM Chartered Wealth Manager (CWM) Certification Level II Examination CWM_LEVEL_2 Question # 195 Topic 20 Discussion

AAFM Chartered Wealth Manager (CWM) Certification Level II Examination CWM_LEVEL_2 Question # 195 Topic 20 Discussion

CWM_LEVEL_2 Exam Topic 20 Question 195 Discussion:
Question #: 195
Topic #: 20

Section A (1 Mark)

The covariance of the market returns with the stocks returns is 0.007. The standard deviation of the market is 7% and standard deviation of stock’s return is 10%. What is the correlation coefficient between stocks and market returns?


A.

0.5


B.

0.91


C.

1


D.

1.25


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