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Commerce · Q619

Business Finance

Graduate and Post Graduate · Commerce · question 619

Q619

Which of the following can be defined as the variability of return on stocks or portfolios, not explained by general market movement. It is avoidable through diversification.

A.
Systematic risk
B.
Standard deviation
C.
Unsystematic risk
Answer
D.
Coefficient of variation

Answer: Option C

Solution

Answer: Option C
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