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stranahan stranahan
wrote...
Posts: 3324
7 years ago
The measure of systematic risk is called ________.
A) correlation
B) covariance
C) beta
D) variance
Textbook 
Financial Management: Core Concepts

Financial Management: Core Concepts


Edition: 2nd
Author:
Read 97 times
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Answer verified by a subject expert
waspchichesterwaspchichester
wrote...
Posts: 253
7 years ago
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stranahan Author
wrote...
7 years ago
Thank you very much for this. It's really helpful.
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