Business
Business, 16.04.2020 02:58, melissaschnelting

Suppose you held a well-diversified portfolio with a very large number of securities, and that the single index model holds. If the σ of your portfolio was 0.20 and σM was 0.16, the β of the portfolio would be approximately Group of answer choices 0.64 1.56 1.25 0.80

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