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You have a diversified portfolio if invest in many different asset classes you hold 50 or more stocks. or sectors. hold a lot of assets. The standard deviation is a measure of systematic risk. all of the above 1 Point 100% Q [1:1] unsystematic risk. diversifiable risk. total risk. 1 Point You have a diversified portfolio if invest in many different asset classes you hold 50 or more stocks. or sectors. hold a lot of assets. The standard deviation is a measure of systematic risk. all of the above 1 Point 100% Q [1:1] unsystematic risk. diversifiable risk. total risk. 1 Point
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