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DP Question 9 According to the following information, which of the stocks would be considered riskiest in a diversified portfolio of investments? Stock 0 B

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DP Question 9 According to the following information, which of the stocks would be considered riskiest in a diversified portfolio of investments? Stock 0 B ABC 12.5% 1.0 FGH 8.0% 0.5 MNO 20.2% 2.4 TUV 15.3% 3.0 Stock TUV, because it has the lowest beta. Stock ABC, because its beta is the same as the market beta (1.0) and the market is always very, very risky. None of the answers are correct. Stock FGH, because it has the lowest beta. Stock MNO, because it has the highest standard deviation

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