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2006-06-13 13:48:22| 人氣267| 回應0 | 上一篇 | 下一篇

17.36的答案

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Coca Cloa's beta is 0.506, which means its stock is less volatile than the market.
The coefficient of determination is 0.0962, which means that only 9.62% of the total risk is market related. The remaining 90.38% of the total risk is associated specifically with Coca Cola.

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