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To take advantage of negative serial correlation, the strategy to be implemented is O buy and hold the asset for long periods of time. O

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To take advantage of negative serial correlation, the strategy to be implemented is O buy and hold the asset for long periods of time. O buy the asset after the price has risen and sell it/short sell it after the price has fallen. split your wealth between the risk-free asset and the market portfolio. O identify assets where the serial correlation is high and avoid buying them. buy the asset after the price has fallen and sell it/short sell it after the price has risen

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