Beta is which of the following: A) standard deviation. B) total risk. C) Beta is the relationship which is between an investment's return, and the market return. D) unsystematic risk
Beta is which of the following: A) standard deviation. B) total risk. C) Beta is the relationship which is between an investment's return, and the market return. D) unsystematic risk
Chapter6: Risk And Return
Section: Chapter Questions
Problem 1Q
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Beta is which of the following:
- A) standard deviation.
- B) total risk.
- C) Beta is the relationship which is between an investment's return, and the market return.
- D) unsystematic risk.
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