The measure of risk for a security held in a diversified portfolio is: a. Specific risk. b.
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a. Specific risk.
b. Standard deviation of returns.
c. Reinvestment risk.
d. Covariance.
Portfolio
A portfolio is a grouping of financial assets such as stocks, bonds, commodities, currencies and cash equivalents, as well as their fund counterparts, including mutual, exchange-traded and closed funds. A portfolio can also consist of non-publicly...
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