One of the keys to investing is balancing risk and reward. And one way to help with this is to employ thoughtful portfolio diversification. Too much diversification can prevent market-beating returns. On the other hand, sticking to just one stock may put investors at too much risk. An approach somewhere in the middle, however, could offer investors a chance to outperform the market while simultaneously reducing volatility.
Diversifying Your Portfolio 101: How Many Stocks Should You Own?
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