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Frage 33 Which is the best measure of risk for an asset held in isolation, and which is the best measure for an asset held

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Frage 33 Which is the best measure of risk for an asset held in isolation, and which is the best measure for an asset held in a diversified portfolio? O Standard deviation; correlation coefficient. O Beta: variance. o Coefficient of variation, beta. O Beta; beta. O Variance, correlation coefficient. Nchste/r

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