Vidyalelo
Commerce · Q819

Financial Management

Graduate and Post Graduate · Commerce · question 819

Q819

Correct measure of risk of stock is called

A.
alpha
B.
beta
Answer
C.
variance
D.
market relevance

Answer: Option B

Solution

Answer: Option B
Solution:
Correct measure of risk of stock is called beta. The beta of an investment is a measure of the risk arising from exposure to general market movements as opposed to idiosyncratic factors.