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Why do we need to incorporate the correlation between each pair of stocks in the portfolio? Group of answer choices This builds in the fact

Why do we need to incorporate the correlation between each pair of stocks in the portfolio?

Group of answer choices

This builds in the fact that stocks with higher correlations lead to higher average portfolio returns

This builds in the fact that the stock returns may move in opposite directions and partially offset and lower the total risk of the portfolio

This is needed to calculate the standard deviation of each stock

We include it for presentation purposes, but do not need it for any calculation

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