23. Explain the concepts of specific (or unique) risk, systematic risk, variance, covariance, standard deviation, and beta

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23. Explain the concepts of specific (or unique) risk, systematic risk, variance, covariance, standard deviation, and beta as they are related to investment management.

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Investments

ISBN: 9788120321014

6th Edition

Authors: William F. Sharpe, Gordon J. Alexander, Jeffery V. Bailey

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