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If a stock has a beta of 0.32, the stock is ______ riskier than the typical stock (namely, market average). Group of answer choices A.
If a stock has a beta of 0.32, the stock is ______ riskier than the typical stock (namely, market average).
Group of answer choices
A. 32% less
B. 68% more
C. 32% more
D. 68% less
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