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Explain how risk-averse investors choose between investments with the same expected return. Explain why financial managers should care about the...

60. Explain how risk-averse investors choose between investments with the same expected return. 61. Explain why financial managers should care about the beta of the common stock of their companies. 62. Explain how investors need to invest in order to be reasonably assured of getting close to the expected return of the stock market.

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