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You have developed the following data on a 2- stock portfolio. Which scenario seems to be out of place? Scenario Expected Standard return deviation 0.25

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You have developed the following data on a 2- stock portfolio. Which scenario seems to be out of place? Scenario Expected Standard return deviation 0.25 0.61 L. Correlation - 1.00 0.25 0.41 M. Correlation - 0.35 0.25 0,20 N. Conrelation 0.25 0.25 0.15 0. Correlation 0.00 0.25 0.00 P. Correlation -1.14 Select one: a. N b. P c. L d. M e. O You have developed the following data to examine the impact of portfolio diversification. Which scenario seems to be out of place? W of stocks in Diversifiable Market the portfolio Risk Risk L. 2 stocks 0.15 0.20 0.13 0.20 M. 20 stocks N. 30 stocks 0.11 0.20 0.60 stocks 0.08 0.20 P. 100 stocks 0.14 0.20 a Select one: a N b.M c. O d. P e. L

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