Question: Which stock has the most systematic risk? Which one has the most unsystematic risk? Which stock is riskier? Explain since, Standard deviation of Stock A
Which stock has
the most systematic risk? Which one has the most unsystematic risk? Which stock is riskier? Explain
since, Standard deviation of Stock A = 9.15% , Beta=3.01
Standard deviation of Stock B= 5.87%, Beta= 1.53
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