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    Corporate Finance Study Set 5
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    Exam 11: Optimal Portfolio Choice and the Capital Asset Pricing Model
  5. Question
    The Amount of Risk That Will Remain in a Portfolio
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The Amount of Risk That Will Remain in a Portfolio

Question 5

Question 5

Multiple Choice

The amount of risk that will remain in a portfolio depends on the degree to which the stocks are exposed to


A) independent risks.
B) diversifiable risks.
C) common risks.
D) idiosyncratic risks.

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