MeeksMI5668 MeeksMI5668
  • 11-04-2020
  • Business
contestada

A stock's standard deviation indicates how the stock affects the riskiness of a diversified portfolio. Therefore, the standard deviation is a better measure of a stock's relevant risk than its beta coefficient, which measures total, or stand-alone, risk.

True
False

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ariguadalupe262
ariguadalupe262 ariguadalupe262
  • 11-04-2020
Answer: true would be the answer
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