Explain how the portfolio approach to investment allows the reduction of risk and why Beta therefore is the most appropriate measure of stock risk?

Personal Finance
13th Edition
ISBN:9781337669214
Author:GARMAN
Publisher:GARMAN
Chapter13: Investment Fundamentals
Section13.3: Risks And Other Factors Affect
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Explain how the portfolio approach to investment allows the reduction of risk and
why Beta therefore is the most appropriate measure of stock risk?

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