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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?
Multilevel Survey Achievement Test
An assessment tool designed to evaluate knowledge or skills across different levels of education or competency, often used in educational settings.
No Child Left Behind
A U.S. Act passed in 2001 aimed at improving educational outcomes by increasing standards of accountability for schools, providing more flexibility in the use of federal funding, and offering more choices to parents regarding their children's education.
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