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What are the main implications of the efficient market hypothesis? Do you think you can consistently beat the market (achieving higher return on your portfolio
What are the main implications of the efficient market hypothesis? Do you think you can consistently beat the market (achieving higher return on your portfolio year after year than the market average) and that the efficient market hypothesis does not apply to real world? How may this theory explain portfolio managers who claim to exceed the market year after year? Finally, do you believe in this theory
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