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RESEARCH NOTES. DIVERSIFICATION, SYSTEMATIC RISK, AND SHAREHOLDER RETURN: A CAPITAL MARKET EXTENSION OF RUMELT'S 1974 STUDY.
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1989
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Empirical FinanceInvestment StrategyFinancial EconomicsCorporate Risk ManagementFinancial Risk ManagementManagementBusinessBusiness StrategyMutual FundsAnd Shareholder ReturnSystematic RiskResearch NotesFinanceCorporate FinanceFinancial Risk
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