Investment-Volatility

Beta: Measures the Volatility of an Investment Relative to the Market
'Beta' is a financial metric that measures the volatility of an investment in comparison to the overall market. It is essential for understanding systematic risk and is widely used in portfolio management.
Financial Risk: Understanding Volatility in Investments
A comprehensive guide to financial risk, which encompasses the increased potential for volatility in investment performance caused by the use of borrowed money, commonly known as leverage.

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