An equally weighted portfolio consists of 3 stocks. A B. and the systematika 23.10 and...

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An equally weighted portfolio consists of 3 stocks. A B. and the systematika 23.10 and 77 respectively.stre porte cont e nt many To answer the question additional information regarding the correlation coercent between the returns of th i s recured No, because the portfolio is equally weighted - Yos, because the systematic risk of portfolio equal to 1.0 No, because financial markets are never oncent No, because the systematic risk of portfolio equal to 1.0. Yes, because the portfolio is diversified WERT

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