Beta | Trade Samaritan

Beta

The beta (β) of a stock or portfolio is a number describing the correlated volatility of an asset in relation to the volatility of the benchmark that the asset is being compared to. It is used a measure of volatility

The beta (β) of a stock or portfolio is a number describing the correlated volatility of an asset in
relation to the volatility of the benchmark that the asset is being compared to. It is used a
measure of volatility

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