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30. According to Modern Portfolio Theory, what is the main reason that an investor can reduce the risk of a diversified portfolio with a large

30. According to Modern Portfolio Theory, what is the main reason that an investor can reduce the risk of a diversified portfolio with a large number of securities without a significant reduction in the expected return of the portfolio? A) This risk statement is incorrect one cannot reduce a portfolios risk without a significant reduction in return. B) The standard deviations of the individual securities. C) The betas of the stocks. D) The correlation between the securities

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