The method to calculate fund risk relative to the overall-17775
The method to calculate fund’s risk relative to the overall market is a:
This multiple choice question (MCQ) is related to the book/course vu mgt604 Management of Financial Institutions. It can also be found in vu mgt604 Lecture No.24 - Quiz No.1.
The method to calculate fund’s risk relative to the overall market is a:
Net profit
Beta coefficient
Tax bracket
Alpha coefficient