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Старый 22.08.2020, 14:43   #2
Недвижимый Боров
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k market will decline and adversely affect their portfolios. However, Investor A also has risks associated with one company that owns its shares. If something specific happens to that company (i.e. profits disappointment, product recall, investor fraud, etc.), Investor A may lose a large portion of his investment. On the other hand, if this same scenario occurs for one of the thirty stocks in Investor B's portfolio, it will not
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