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gcd99br gcd99br
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4 years ago
A portfolio of stocks can achieve diversification benefits if the stocks that comprise the portfolio are

▸ perfectly correlated.

▸ susceptible to common risks only.

▸ not perfectly correlated.

▸ both B and C
Textbook 
Fundamentals of Corporate Finance

Fundamentals of Corporate Finance


Edition: 2nd
Authors:
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gturgtur
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4 years ago
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gcd99br Author
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4 years ago
Brilliant
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