Quote:
Originally Posted by noorahmed
are you sure about question which ans is Transfer the risk? I ticked the same option.
ek sawal tha isolated securities wala, jsme option the standard deviation beta risk etc. kisi ko yad hn wordings and ans kya tha uska?
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Which is the best measure of risk for a single asset held in isolation, and which is the best measure for anasset held in a diversified portfolio?a. Variance; correlation coefficient. b. Standard deviation; correlation coefficient.c. Beta; variance.d. Coefficient of variation; beta.e. Beta; beta