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Riskiness of an Isolated Asset

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A measure of the riskiness of an asset held in isolation is

a. beta
b. standard deviation
c. covariance
d. semi-variance

Please explain your reasoning as to how you obtain your answer.

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Solution Summary

This solution identifies the correct measurement for the riskiness of an asset and justifies the choice.

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The common measure of the riskiness of an asset held in isolation is ...

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