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Heybonita Heybonita
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4 months ago
________ is a measure of the risk of a security that cannot be avoided through diversification.

▸ Standard deviation

▸ Variance

▸ Beta

▸ Total risk
Textbook 
Corporate Finance

Corporate Finance


Edition: 5th
Author:
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scmhackscmhack
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4 months ago
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Heybonita Author
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4 months ago
Brilliant
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Thanks
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I appreciate what you did here, answered it right Smiling Face with Open Mouth
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