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    Foundations of Finance
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    Exam 6: The Meaning and Measurement of Risk and Return
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    The Appropriate Measure for Risk According to the Capital Asset
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The Appropriate Measure for Risk According to the Capital Asset

Question 95

Question 95

Multiple Choice

The appropriate measure for risk according to the capital asset pricing model is


A) the standard deviation of a firm's cash flows.
B) alpha.
C) the standard deviation of a firm's stock returns.
D) beta.

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