Read more about the article How to Calculate Financial BETA Coefficient in Stock Market Trading and Portfolio Management to Measure and Control Risk
How to Calculate Financial Beta Coefficient in Stock Market Trading and Portfolio Management to Measure and Control Risk

How to Calculate Financial BETA Coefficient in Stock Market Trading and Portfolio Management to Measure and Control Risk

Beta as used in finance, investing, and stock trading refers to the risk exposure of a specified financial asset in relation to the overall market, otherwise referred to as systematic risk.

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