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One of the conclusions of the CAPM is that the Risk/Return relationship is linear (at least in Return/Beta space), the Security Market Line equation. When

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One of the conclusions of the CAPM is that the Risk/Return relationship is linear (at least in Return/Beta space), the Security Market Line equation. When we look at the effects of diversification in, Lecture 11B we saw that diversification reduced risk (stand alone risk, standard deviation of returns) in a certainly non- linear way. So, how are we to reconcile those two ideas

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