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Apparently, Simon Hoyle's article did not mention what would happen to the risk if an investor decided to buy more than one share. Explain how

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Apparently, Simon Hoyle's article did not mention what would happen to the risk if an investor decided to buy more than one share. Explain how adding new shares to a portfolio can affect the risk and return of that portfolio. You should use the concepts of correlation coefficient and the standard deviation in your explanations

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