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The following represent advantages of the full Markowitz Model vis--vis the Index model EXCEPT: A. No assumptions are made regarding the correlation or interdependence of

The following represent advantages of the full Markowitz Model vis--vis the Index model EXCEPT: A. No assumptions are made regarding the correlation or interdependence of returns among firms, even within the same industry. B. The Markowitz Model is more flexible and relies less on assumptions. C. Since it does not separate risk into systematic and nonsystematic, it can more realistically account for interdependence of returns

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