Can a combination of two very risky stocks become a


1. Can a combination of two very risky stocks become a portfolio with very low riskiness? Explain.

2. Beta and Standard Deviation (S.D.) are the two fundamental measurements for risk in Finance. Look for your "assigned company" in the attached "Company List" file, and follow the instruction below.

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Financial Management: Can a combination of two very risky stocks become a
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