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A portfolio of international stocks in comparison to purely U.S. stocks generally shows Multiple Choice a lower percentage risk for a given number of stocks.

A portfolio of international stocks in comparison to purely U.S. stocks generally shows

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  • a lower percentage risk for a given number of stocks.

  • higher percentage risk for a given number of stocks.

  • the same percentage risk for a given number of stocks.

  • a lower percentage return for a given number of stocks.

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