Long-term studies have shown that the return on a stock can be separated into a) market risk b) sector / industry risk and c) company specific risk. What is the approximate split of risk between those three components:
a. 25% market, 25% sector, 50% company.
b. 50% market, 30% sector, 20% company.
c. Stocks are just like gambling
d. 25% market, 50% sector, 25% company.
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