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In Finance, the Beta of a Stock or Portfolio Is

Question 8

Multiple Choice

In finance, the beta of a stock or portfolio is a number describing the relation of its returns with that of the financial market as a whole. When an asset has a beta value of 0, which of the following is true?


A) The asset's price is not at all correlated with the market or the asset is independent of market.
B) The asset generally follows the market.
C) The asset inversely follows the market, but it generally decreases in value if the market goes up and vice versa.
D) None of the above is true.

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