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Refer to the figure attached ( Note that the scale of the horizontal axis is different from the scale of the vertical axis ) .
Refer to the figure attached Note that the scale of the horizontal axis is different from the scale of the vertical axis What proportion of US Steel's return was explained by market movements? What proportion of risk was diversifiable? How does the diversifiable risk show up in the plot? What is the range of possible errors in the estimated beta?
Please provide detailed explanation, I'll make sure to upvote! Thanks :)
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