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Based on a multifactor model, the concept of portfolio diversification is to minimize which one of the following? a. Weighted average b.F c.Weighted average of

Based on a multifactor model, the concept of portfolio diversification is to minimize which one of the following? a. Weighted average b.F

c.Weighted average of

d.Weighted average of E(R)

e.Weighted average of ( F)

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