# Tendency of measuring correlation of two variables is classified as

A. tendency coefficient

B. variable coefficient

C. correlation coefficient

D. double coefficient

**Answer: Option C **

__Solution(By Examveda Team)__

Tendency of measuring correlation of two variables is classified as correlation coefficient. The correlation coefficient is a statistical measure that calculates the strength of the relationship between the relative movements of two variables. A. rise in marginal cost of capital

B. fall in marginal cost of capital

C. rise in transaction cost of capital

D. rise in transaction cost of capital

**Relationship between total risk of stock, diversifiable risk and market risk is classified as**

A. total risk

B. standard deviation

C. standard alpha

D. treynor alpha

**EBIT is usually the same thing as.
**

A. funds provided by operations

B. earnings before taxes

C. net income

D. operating profit

**Asset allocation affects the investor's return by______________.
**

A. altering the returns on individual assets

B. weighting the portfolio return by the allocation

C. assuring diversification

D. increasing the investor's use of mutual funds

## Join The Discussion