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a firm with a beta of 1.0 and when held in a well-diversified portfolio should be considered to have __________risk than the market portfolio. a.
a firm with a beta of 1.0 and when held in a well-diversified portfolio should be considered to have __________risk than the market portfolio.
a. less
b. neither more of less
c. more
d. there is not enough information to answer this question
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