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An investor who has selected an overall asset mix of 60% stocks, 30% bonds, and 10% cash equivalents and who expects to keep that allocation

An investor who has selected an overall asset mix of 60% stocks, 30% bonds, and 10% cash equivalents and who expects to keep that allocation for the long term is most likely employing

A)

core-satellite asset allocation.

B)

dynamic asset allocation.

C)

tactical asset allocation.

D)

strategic asset allocation.

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