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    Exam 8: Portfolio Selection
  5. Question
    As a Measure of Market Risk,the Beta for the S&P
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As a Measure of Market Risk,the Beta for the S&P

Question 31

Question 31

Multiple Choice

As a measure of market risk,the beta for the S&P 500 is generally considered to be:


A) -1.0.
B) 1.0.
C) 0.
D) impossible to determine.

Correct Answer:

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