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Question 14 O Mark this question Why is an investment portfolio containing a mix of stocks and bonds less risky than one containing a single

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Question 14 O Mark this question Why is an investment portfolio containing a mix of stocks and bonds less risky than one containing a single asset class? O Because the markets for stocks and bonds tend to move in the same direction at the same time. O Because stocks and bonds are positively correlated. O Because bonds typically have a high variance and stocks typically have a low variance. O Because stocks and bonds are negatively correlated

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