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Given two stock return distributions, which of the two stocks is riskier? a. The stock distribution with possible outcomes more concentrated around the expected

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Given two stock return distributions, which of the two stocks is riskier? a. The stock distribution with possible outcomes more concentrated around the expected return. b. The stock distribution with the lower expected return. c. The stock distribution that is more spread out. d. The stock distribution with a less variance of returns.

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