According to the response received “the beta of Dell Computers is 1.41. This means to the investors that the risk of this company is more than the average risk of the overall market. This will increase the expected return of the investors from this stock. The relationship of beta to risk is that in this case, if the average risk of the market is 1, Dell’s risk is 41% more. Higher the beta, higher is the risk and lower the beta, lower is the risk when compared to the market”. What makes Dell 41% more volatile than the market?
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