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    Corporate Finance Study Set 11
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    Exam 10: Risk and Return: the Capital Asset Pricing Model
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    Beta Measures
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Beta Measures

Question 12

Question 12

Multiple Choice

Beta measures:


A) the ability to diversify risk.
B) how an asset covaries with the market.
C) the actual return on an asset.
D) the standard of the assets' returns.
E) All of the above.

Correct Answer:

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