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The main insight of modern portfolio theory is that Multiple Choice the optimal portfolio of risky assets does not depend on the risk preferences of

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The main insight of modern portfolio theory is that Multiple Choice the optimal portfolio of risky assets does not depend on the risk preferences of the investors. all investors will hold the same mix of the market portfolio and the risk-free asset. small stocks offer higher average returns than large stocks. investors who are more risk averse will overweight stocks with lower standard deviations all of the above

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