Stock Beta is a calculation or measurement of volatility or risk of a stock trading on the stock market. It is the fluctuation in stock prices and the . Beta >100. This is impossible. A stock can never be 100 times more riskier than the stock market in general. This is because a small change in the returns . Beta of 0. Value of current cash (with no inflation) has a Beta of 0. No . Beta of 1. A Beta of 1 means the stock market is moving in the same . Calculation of Stock Beta - Stock Price and Market Risk .
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The Beta coefficient, in terms of finance and investing, is a measure of volatility of a stock or portfolio in relation to the rest of the financial . The beta coefficient is a key parameter in the capital asset pricing model ( . Beta finance - Wikipedia, the free encyclopedia
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