3285. Stock which has higher correlation with market tend to have

high beta, less risky
low beta, more risky
high beta, more risky
low beta, less risky
✅ The correct answer is C.
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.

Leave a Comment

Your email address will not be published. Required fields are marked *

Scroll to Top