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Evaluate the following statement.3 Return on Asset A has a higher variance than the return on Asset B. Therefore, since Asset A has more volatility/risk

Evaluate the following statement.3 Return on Asset A has a higher variance than the return on Asset B. Therefore, since Asset A has more volatility/risk than asset B, Asset A has to bring higher return than Asset B? Is this statement correct. If Yes explain why Yes? If No explain why No

Why do we use portfolio approach to testing asset pricing models

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