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    Exam 8: Risk and Return Theories: I
  5. Question
    The Standard Deviation of Portfolio Return Is a Measure Of
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The Standard Deviation of Portfolio Return Is a Measure Of

Question 7

Question 7

Multiple Choice

The standard deviation of portfolio return is a measure of:


A) Systematic risk.
B) Unsystematic risk.
C) Total risk.
D) Statistical risk.
E) None of the above.

Correct Answer:

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