Series 6 - Investment Company And Variable Contracts Products Representative Exam

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A stock's beta measures:

The extent to which its actual returns exceeds or falls short of its expected returns.
Its volatility in relation to the overall market.
Its price movement over the course of 200 days.
The changes in its expense ratio.


A stock's beta measures the volatility of the stock in relation to the overall market, which is typically the S&P 500 Index.