Question: chose the correct answer for the following: which is the best measure of risk for choosing an asset to be held as part of a

chose the correct answer for the following: which is the best measure of risk for choosing an asset to be held as part of a diversified portfolio?
which is the best measure of risk for choosing an asset which is to be held in isolation?
A. standard deviation, correlation coefficient
B. coefficient of variation, correlation coefficient
C. beta, standard deviation
D. standard deviation, beta
E. beta, beta

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