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Business, 25.03.2020 00:35 gabbymay85

You have the following data on three stocks: Stock Standard Deviation Beta A 20% 1.59 B 30% 1.71 C 25% 1.29 If you are a strict risk minimizer, you would choose Stock if it is to be held in isolation and Stock if it is to be held as part of a well-diversified portfolio. A; A. A; B. B; A. A; C. C; B.

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