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Can we have high-beta stocks that might be attractive from a risk perspective and low-beta stocks that are unattractive? Explain. In broad terms, why is

Can we have high-beta stocks that might be attractive from a risk perspective and low-beta stocks that are unattractive? Explain.

In broad terms, why is some risk diversifiable? Why are some risks non diversifiable? Does it follow that an investor can control the level of unsystematic risk in a portfolio, but not the level of systematic risk?

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