6. If holding assets in a diversified portfolio, why is beta, and not standard deviation, the...
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6. If holding assets in a diversified portfolio, why is beta, and not standard deviation, the appropriate measure of risk for an individual asset? 7. If holding assets in a diversified portfolio, why is standard deviation the appropriate measure of risk for the portfolio? 6. If holding assets in a diversified portfolio, why is beta, and not standard deviation, the appropriate measure of risk for an individual asset? 7. If holding assets in a diversified portfolio, why is standard deviation the appropriate measure of risk for the portfolio?
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6 Beta vs Standard Deviation for Individual Asset Risk Beta is the appropriate measure of risk for an individual asset in the context of a diversified ... View the full answer
Related Book For
Intermediate Financial Management
ISBN: 978-1111530266
11th edition
Authors: Eugene F. Brigham, Phillip R. Daves
Posted Date:
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