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All rational investors, seeking to manage risk by optimally diversifying across a common set of different assets: A.Only focus on the mean of the overall

All rational investors, seeking to manage risk by optimally diversifying across a common set of different assets:
A.Only focus on the mean of the overall portfolio.
B.Can ultimately hold different, fully diversified portfolios.
C.Are concerned about by the performance of the riskier assets once they have created the diversifying portfolio.
D.Ultimately earn the same return if they share the same level of risk-aversion.

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