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Stock A has a volatility of 65% and a correlation of 10% with your current portfolio.

01 / 10 / 2021 Research Papers

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Stock A has a volatility of 65% and a correlation of 10% with your current portfolio. Stock B has a 1 answer below » Stock A has a volatility of 65% and a correlation of 10% with your current portfolio. Stock B has a volatility of 30% and a correlation of 25% with your current portfolio. You currently hold both stocks. Which will increase the volatility of your portfolio: (i) selling a small amount of stock B and investing the proceeds in stock A, or (ii) selling a small amount of stock A and investing the proceeds in stock B? Sep 17 2015 01:52 PM



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