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In general, which stocks should be combined in a portfolio if the goal is the greatest reduction in overall risk? A. Stocks with returns that
In general, which stocks should be combined in a portfolio if the goal is the greatest reduction in overall risk? A. Stocks with returns that are positively correlated B. Stocks with returns that are negatively correlated C. Stocks with returns that are not correlated D. Stocks that have the highest expected returns
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