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A highly risk-averse investor is considering adding one additional stock to a 3-stock portfolio,to form a 4-stock portfolio.The three stocks currently held all have b = 1.0,and they are perfectly positively correlated with the market.Potential new Stocks A and B both have expected returns of 15%,are in equilibrium,and are equally correlated with the market,with r = 0.75.However,Stock A's standard deviation of returns is 12% versus 8% for Stock B.Which stock should this investor add to his or her portfolio,or does the choice not matter?
Operant Conditioning
The method of modifying the robustness of a behavior through the application of rewards or disciplinary actions.
Insight Therapy
A type of psychotherapy aimed at increasing a patient's awareness of underlying motives and defenses to improve mental health.
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A neurodevelopmental disorder characterized by a pattern of inattention and/or hyperactivity-impulsivity that interferes with functioning or development.
Fidgeting
Minor movements, especially of the hands and feet, driven by nervousness, impatience, or boredom.
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