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1. ______________ is a measure of risk. A. Standard Deviation B. Scatter Diagram C. Portfolio D. Benn Diagram 2. _____________ is the probability that the

1. ______________ is a measure of risk.
A. Standard Deviation
B. Scatter Diagram
C. Portfolio
D. Benn Diagram
2. _____________ is the probability that the investment may not produce the expected return.
A. Risk
B. Portfolio
C. Asset Exponent
D. Diversification

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