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Topic: Business
Number of pages / Number of words: 7 / 1804
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This theory proposes that the risk of a particular stock should not be looked at on a standalone basis, but rather in relation to how that particular stock's price varies in relation to the variation in price of the market portfolio (investorwords.com, 2005). The theory goes on to state that given an investor's preferred level of risk, a particular portfolio can be constructed that maximizes expected return for that level of risk (investorwords...


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The theory goes on to state that given an investor's preferred level of risk, a particular portfolio can be constructed that maximizes expected return for that level of risk (investorwords.com, 2005).

The MPT model assumes that investors are risk averse (Wikipedia.com, 2006). This means that given two assets that offer the same return, investors will prefer the less risky one (Wikipedia...


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Beat The Average Investor’s Returns With The Simplest Investment Portfolio Determinants of Foreign Portfolio Investment IBM'S STOCK PRICE Investment Risk in Stock Market Securities Investment techniques to reduce portfolio risks impact of stock split on the stock return KEY ISSUES RELATIVE TO PORTFOLIO ANALYSIS AND INVESTMENT Lessons Learned from Managing a Personal Stock Portfolio Modern Portfolio Theory Predictability Of Stock Price Returns In Select Emerging Markets The Advantages And Disadvantages Of Free Market Economy, Price Determination With Market Forces. And Government Intervention With Free Market Equilibrium Price And The More Suitable Model For The Sudan The Stock Market Stock Market Study Of Relationship Between Foreign Exchange Market &Amp;Amp; Stock Market Foreign Exchange Rate Sensitivity and Stock Price

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