Financial Management

1:

Which of these is an appropriate measure of individual share risk (i.e. the risk of a single share held as part of a portfolio)?

A.

Variance.

B.

Beta.

C.

Standard deviation.

D.

Correlation.

 

Answer : B

Explanation :

Write your comments here:


Report Error
 

Option: A

Explanation : Explanation will come here. Explanation will come here. Explanation will come here. Explanation will come here. Explanation will come here.