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By holding a portfolio of more than 20 stocks, this portfolio can have: 1 Higher expected return than the stock with the highest expected return

By holding a portfolio of more than 20 stocks, this portfolio can have:

1 Higher expected return than the stock with the highest expected return in this portfolio

2 Lower total risk than the stock with the lowest standard deviation in this portfolio

3 Higher specific risk than the stock with the highest specific risk in this portfolio

4 Lower systematic risk than the stock with the lowest beta in this portfolio

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