Question
In the context of finance, the term 'beta' refers to the
Attempt this previous-year question. The correct option stays hidden until you choose.
In the context of finance, the term 'beta' refers to the
Pick an option to check yourself.
• Correct Answer: D
• Beta is a statistical measure of a stock's systematic risk relative to the overall market volatility.
• A beta of 1 indicates market-level volatility; above 1 means higher risk, below 1 means lower risk.
• Arbitrage, portfolio balancing, and basis risk are described by other distinct financial concepts.
Attempt Prelims MCQs or open Mains questions by paper — then continue the same bank inside the app with visual decks.