홈 > Term: average portfolio beta
average portfolio beta
Beta coefficient is the market sensitivity of a stock. It measures the average response of the price to moves in the aggregate market over the past sixty months. N.A. - insufficient observations available; N.M. - not statistically significant.
- 품사: noun
- 분야/도메인: 금융 서비스
- 카테고리: 자금
- Company: Merrill Lynch
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