Does it follow that an investor can control the level

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In broad terms, why is some risk diversifiable? Why are some risks nondiversifiable?

Does it follow that an investor can control the level of unsystematic risk in a portfolio, but not the level of systematic risk?

Reference no: EM131126389

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Does it follow that an investor can control the level : In broad terms, why is some risk diversifiable? Why are some risks nondiversifiable? Does it follow that an investor can control the level of unsystematic risk in a portfolio, but not the level of systematic risk?
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