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BetaA mathematical measure of the volatility of a particular stock, mutual fund, and/or portfolio in comparison with the entire market. Specifically, it measures the stock, fund or portfolio performance during the last 5 years. A beta of 1.0 indicates that an asset closely followed the market; a beta greater than 1.0 indicates a greater volatility than the market - a beta of less than 1.0 indicates that the asset was less volatile than the market. RELATED PRODUCTS
Salary AssessorReports "up to the present day" competitive wage, salary, and incentive survey data. Provides salary ranges and median/means for over 6,100 positions in 370 U.S. and Canadian metro areas.Download Product Demo |