Business Studies, asked by rishikeshmaurya, 8 months ago

Market risk is best measured by the:
(A)
alpha
(B)
beta
(C)
standard deviation
(D)
coefficient of variation

Answers

Answered by stakeshchandra4
7

Answer:

B)Beta

Explanation:

please thank my answer

Answered by Sayamoni242
2

Answer:

Your answer is option B. beta

Similar questions