- CFA Exams
- CFA Level I Exam
- Topic 9. Portfolio Management
- Learning Module 2. Portfolio Risk and Return: Part II
- Subject 4. Calculation and Interpretation of Beta
CFA Practice Question
The beta of a risk-free portfolio is ______.
B. -1.0
C. +1.0
A. 0
B. -1.0
C. +1.0
Correct Answer: A
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