The correlation coefficient between the yearly returns of two mutual funds is 0.20. What does that mean about the strength and direction of the linear relationship between the returns of the two funds?

College Algebra
1st Edition
ISBN:9781938168383
Author:Jay Abramson
Publisher:Jay Abramson
Chapter4: Linear Functions
Section: Chapter Questions
Problem 8PT: Does Table 1 represent a linear function? If so, finda linear equation that models the data.
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The correlation coefficient between the yearly returns of two mutual funds is 0.20. What does that mean about the strength and direction of the linear relationship between the returns of the two funds?

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