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johnboycs johnboycs
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2 years ago
Which of the following best describes the relationship between a stock's beta and the standard deviation of the stock's returns?

▸ The higher the standard deviation, the higher the beta.

▸ The higher the standard deviation, the lower the beta.

▸ The relationship depends on the correlation between the stock's returns and the market's returns.

▸ Standard deviation and beta are different ways of measuring the same thing.
Textbook 
Fundamentals of Investing

Fundamentals of Investing


Edition: 14th
Authors:
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wordnerdwordnerd
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2 years ago
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johnboycs Author
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2 years ago
You make an excellent tutor!
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Yesterday
Thank you, thank you, thank you!
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2 hours ago
Good timing, thanks!
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