Explain why an investment portfolio composed of all the stocks in the Standard & Poors 500 Index

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Explain why an investment portfolio composed of all the stocks in the Standard

& Poor’s 500 Index is less risky than an investment portfolio composed of 20 stocks chosen randomly.

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Money Banking And Financial Markets

ISBN: 9780073375908

3rd Edition

Authors: Stephen Cecchetti, Kermit Schoenholtz

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