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non-diversifiable risk

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The WACC for the project reflects its specific non-diversifiable risks.
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(18) Non-diversifiable risks may also be referred to as market risks, systematic risks or undiversifiable risks.
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You determine that the project has the same level of non-diversifiable risk as investing in McDonald’s stock.
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Therefore, the only relevant risk is non-diversifiable risk, which is inescapable.
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Non-diversifiable risk 5.8 Explain what is meant by beta.
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A rational investor should not take on any diversifiable risk, as only non-diversifiable risks are rewarded within the scope of this model.
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β is the ‘Beta’, a measure of the systematic (non-diversifiable) risk associated with CDL’s stock, which reflects both the business and financial risk.
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systematic (non-diversifiable) risk, which is the common risk shared by an asset or a liability with the other items in a diversified portfolio.
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Systematic or non-diversifiable risks (18): risks affecting all firms in the economy, e.g. changes in interest rates and general price levels or macro-economic shocks in the demand side.
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where Rf denotes the risk-free rate in the market, denotes the equity market risk premium and β (beta) is a measure of the idiosyncratic, non-diversifiable risk of the project.
Informe sobre un marco comunitario relativo a las sociedades de gestión colectiva en el ámbito de los derechos de autor y derechos afines [#/#(INI)]- Comisión de Asuntos Jurídicos y Mercado Interioreurlex-diff-2018-06-20 eurlex-diff-2018-06-20
where Rf is the risk-free rate, [Formula] is the market risk premium and ß is the ‘Beta’, a measure of the systematic (non-diversifiable) risk associated with the stock of Ciudad de la Luz, which reflects both the business and financial risk.
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This capital increase, which was financially beneficial for the Group [Dexia], thus placed these two shareholders in particular in a much weaker position, since they were not financially strong enough to absorb the operation in the systematic risk of their portfolio; for them, the Dexia risk became a specific, non-diversified risk’ (99).
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Since beta reflects asset-specific sensitivity to non-diversifiable, i.e. market risk, the market as a whole, by definition, has a beta of one.
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A non-speculative investment fund must diversify the risks in its investment portfolio in order to ensure its longevity.
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The mantra of ‘spread risk, diversify sources of income’ informed much of non-elite life.
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It states that the main objective of its business decision was to increase revenues from aviation and non-aviation activities, to diversify the risk and the dependence on Sky Europe — the single key air carrier at the Airport — and to create more stable development of passenger volumes at the Airport.
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1- R squared is the percentage of non market risk that's the percentage of the risk that can be diversified away.
En caso de acumulación con otras ayudas estatales, de organismos públicos o de colectividades, pero en el estricto cumplimiento del límite de las ayudas prescrito por el artículo # del Reglamento (CE) no #/#, este instrumento debe promover el desarrollo de la agricultura ecológica en este departamentoQED QED
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