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solina solina
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Posts: 1273
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6 years ago
A stock's beta is a measure of its
A) systematic risk.
B) unsystematic risk.
C) company-specific risk.
D) diversifiable risk.
Textbook 
Financial Management: Principles and Applications

Financial Management: Principles and Applications


Edition: 13th
Authors:
Read 83 times
1 Reply
Heavy Heart Thank you bio-forums! Heavy Heart
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vanrheevanrhee
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6 years ago
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