You run the following regression for an asset manager's portfolio. The fund is likely takıng a long position in which type of stocks? Coefficient 0.03 0.65 1.20 0.80 t-stat 2.10 2.60 -3.02 1.04 O Small stocks O Large stocks O Value stocks

MATLAB: An Introduction with Applications
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Chapter1: Starting With Matlab
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D4)
You run the following regression for an asset manager's portfolio. The fund is likely takıng a
long position in which type of stocks?
a
Coefficient
0.03
0.65
1.20
0.80
2.10
2.60
3.02
1.04
t-stat
Small stocks
O Large stocks
Value stocks
Transcribed Image Text:You run the following regression for an asset manager's portfolio. The fund is likely takıng a long position in which type of stocks? a Coefficient 0.03 0.65 1.20 0.80 2.10 2.60 3.02 1.04 t-stat Small stocks O Large stocks Value stocks
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