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Question 10 1 pts Consider the theory of active portfolio management. Stocks A and B have the same beta and nonsystematic risk. Stock A has
Question 10 1 pts Consider the theory of active portfolio management. Stocks A and B have the same beta and nonsystematic risk. Stock A has a lower positive alpha than stock B. You should want in your active portfolio. equal proportions of stocks A and B more of stock A than stock B The answer cannot be determined from the information given more of stock B than stock A
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