Examveda
Examveda

Stock which has higher correlation with market tend to have

A. high beta, less risky

B. low beta, more risky

C. high beta, more risky

D. low beta, less risky

Answer: Option C

Solution(By Examveda Team)

Stock which has higher correlation with market tend to have high beta, more risky. High-beta stocks tend to be riskier but provide the potential for higher returns.

This Question Belongs to Commerce >> Financial Management

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