Assume you have a choice to invest in two financial portfolios; 'Portfolio A' can give...
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Finance
Assume you have a choice to invest in two financial portfolios; 'Portfolio A' can give you the expected return of 24% while assuming 8% risk and portfolio B can give you the expected return of 8% while assuming the risk of 6%. Considering the stated scenario what do you think which portfolio for investment purpose is more risky?
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