In finance, the beta (β or market beta or beta coefficient) is a measure of how an individual asset moves (on average) when the overall stock market increases or decreases. Thus, beta is a useful measure of the contribution of an individual asset to the risk of the market portfolio when it is added in small quantity. Thus, beta is referred to as an asset's non-diversifiable risk, its systematic risk, market risk, or hedge ratio. Beta is not a measure of idiosyncratic risk. WebDescription. In technical analysis Beta indicator is used to measure volatility or risk of a stock relative to the overall risk (volatility) of the stock market (market indexes).The Beta indicators compares stock's price movement to the movements of the indexes over the same period of time. It is common practice to use the S&P 500 index as a benchmark of the …
Beta: Definition, Calculation, and Explanation for Investors
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Beta financial definition of Beta - TheFreeDictionary.com
WebFeb 10, 2024 · A financial advisor can also help you take advantage of beta to make better investment decisions. Understanding Beta. Investors often calculate beta by comparing … WebFind the latest Invesco Defensive Equity ETF (DEF) stock quote, history, news and other vital information to help you with your stock trading and investing. WebBeta (finance) synonyms, Beta (finance) pronunciation, Beta (finance) translation, English dictionary definition of Beta (finance). n stock exchange a measure of the extent to … golf argyle pattern