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We use Beta as a measurement of investment risk because ______. A. Beta measures the diversifiable risk that investors care about the most B. Standard
We use Beta as a measurement of investment risk because ______.
A. | Beta measures the diversifiable risk that investors care about the most | |
B. | Standard deviation is a less accurate measure of riskiness than beta | |
C. | Beta measures the non-diversifiable risk that investors cannot avoid | |
D. | Beta measures the entire riskiness of the investment |
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