An investment's return should always be inversely related to its risk.
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Q1: The borrowing-lending line extending from the risk-free
Q3: Financial risk can be defined as the
Q4: The risk of an investment is best
Q5: The idea of diversification is to maintain
Q6: The correct way to find an average
Q7: The correlation coefficient ranges from -1.0 to
Q8: We would expect the correlation coefficient between
Q9: In the normal distribution, approximately two-thirds of
Q10: We can obtain the benefits of diversification
Q11: The normal distribution contains one-third of the
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