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When would you expect the portfolio's standard deviation to be LOWER than the weighted average of the standard deviations of the individual securities? If the

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When would you expect the portfolio's standard deviation to be LOWER than the weighted average of the standard deviations of the individual securities? If the correlation between the 1 A When will the standard deviation of a portfolio with two risky securities be at its LOWEST? If the correlation between the 1 A

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