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Topic: Business
Number of pages / Number of words: 11 / 3028
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Based on the analysis of risk, CAPM concludes that the relevant risk of an individual stock is the amount of risk it contributes to a well-diversified portfolio. In other words, a stock by itself is more risky than when that risk is diversified away within a larger portfolio. The stock still contributes some risk to the portfolio (the systematic risk), but through the diversification process, the unsystematic risk is removed...


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The Capital Asset Pricing Model is based on the following eight assumptions:

1. All investors focus on a single holding period, and they seek to maximize the expected utility of their terminal wealth by choosing among alternative portfolios on the basis of each portfolio's return and standard deviation...


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