In the capital asset pricing model systematic risk is


In the Capital Asset Pricing Model, systematic risk is related to:

A)   Beta

B)   Return on risk-free assets

C)   Market return

D)   None of the above

Stuck in between of choosing B) or C) . Please help and elaborate more on the answer

But on the other hand, I've read that Systematic Risk is also called as Beta? In that case, should it relates to CAPM?

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Financial Management: In the capital asset pricing model systematic risk is
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