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Mathematics, 29.02.2020 03:30 banna01man
Assume stock xyz has a beta of 1.5 and a residual standard deviation of 30%. The standard deviation of the market-index portfolio is 20%. What would have a greater impact on xyz's variance: an increase of 0.15 in its beta or an increase of 3 percentage points (from 30 to 33%) in its residual standard deviation
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Assume stock xyz has a beta of 1.5 and a residual standard deviation of 30%. The standard deviation...
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