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Choose the correct answer for the following: (1) Which is the best measure of risk for choosing an asset to be held as part of

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Choose the correct answer for the following: (1) Which is the best measure of risk for choosing an asset to be held as part of a diversified portfolio? (2) Which is the best measure of risk for choosing an asset which is to be held in isolation? Standard deviation; correlation coefficient Coefficient of variation; correlation coefficient Beta: Standard deviation Standard deviation; Beta Beta; Beta The beta of Low Tech, Incorporated is 1.50. The risk-free rate is 3.5%, and the market return is 12.5%. Currently the stock is earning investors a 16.5% rate of return. Per the CAPM, you would say that this stock is and you expect its rate of return to in the future. overpriced; decrease O underpriced; increase O underpriced: decrease o overpriced; increase

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