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From This Model We Can Get a Measure of How

Question 55

Multiple Choice

From this model we can get a measure of how the return on an asset systematically varies with the variations in the market, and consequently we can get a measure of systematic risk.Identify this model.


A) Discounted Cash Flow Model
B) Capital Asset Pricing Model
C) Modigliani-Miller Model
D) Absolute Return Model
E) Value at Risk Model

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