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    Exam 16: Investment Opportunities in the Securities Market
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    An Asset Allocation of 95% Stocks and 5% Bonds Is
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An Asset Allocation of 95% Stocks and 5% Bonds Is

Question 88

Question 88

Multiple Choice

An asset allocation of 95% stocks and 5% bonds is considered ________ risk.


A) conservative low
B) moderate
C) moderate high
D) aggressive high
E) zero

Correct Answer:

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