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Question 7 1pts If the ( 2 words) between two stocks is (# between -1 and +1 ) then the resulting portfolio's standard deviation will

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Question 7 1pts If the ( 2 words) between two stocks is (\# between -1 and +1 ) then the resulting portfolio's standard deviation will be a weighted average of the individual securities' standard deviations. Question 8 1 pts The tighter the probability distribution of its expected future returns, the greater the risk of a given investment as measured by its standard deviation. True False Question 7 1pts If the ( 2 words) between two stocks is (\# between -1 and +1 ) then the resulting portfolio's standard deviation will be a weighted average of the individual securities' standard deviations. Question 8 1 pts The tighter the probability distribution of its expected future returns, the greater the risk of a given investment as measured by its standard deviation. True False

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