Question: How do we identify optimal complete portfolio? What does the Separation property of investment decision imply? What is the difference between systematic and unsystematic risk?

 How do we identify optimal complete portfolio? What does the "Separation

How do we identify optimal complete portfolio? What does the "Separation property of investment decision" imply? What is the difference between systematic and unsystematic risk? Which one is more important, and how do we measure it

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