standard deviation

Risk and Returns – Course book Q&A

Please refer my answers and open to any corrections. It is for scope of learning corporate finance. Questions are taken from Chapter 11 – Essentials of Corporate Finance, Ross, 8e Question: In broad terms, why is some risk diversifiable? Why are some risks non-diversifiable? Can Investor control the level of unsystematic risk in a portfolio? Answer: In business perspective, risks are categorized into 3 levels. They are … Continue reading Risk and Returns – Course book Q&A