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Level II
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Alternative Investments
Alternative Investments
Medium
An institutional investor considering a 3% portfolio allocation to digital assets (primarily Bitcoin) would most likely justify this allocation by citing:
A
Historically low correlation with traditional asset classes providing diversification benefit
B
Predictable cash flows from staking rewards that resemble dividend income
C
Low volatility relative to emerging market equities
D
Strong regulatory framework providing investor protection
Select an answer to continue
Tags
#digital-assets
#cryptocurrency
#portfolio-allocation
#diversification
#correlation
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