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Investing in two assets with a correlation coefficient of 1 will not reduce any kind of risk.            

A correlation coefficient of 1 indicates a perfect positive correlation between the prices of two stocks. In this case, the stock always move in same direction by the same amount.

The correlation coefficient's value must fall between -1.0 and +1.0 .

Correlations are used in advanced portfolio management, in finance and investment industries.

To learn more about Correlation Coefficient,

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