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  1. What Beta Means for Investors

    Jun 11, 2025 · What Is Beta? Beta is an indicator of the price volatility of a stock or other asset in comparison with the broader market. It suggests the level of risk that an investor takes on in …

  2. Beta (finance) - Wikipedia

    In finance, the beta (β or market beta or beta coefficient) is a statistic that measures the expected increase or decrease of an individual stock price in proportion to movements of the stock …

  3. What is Beta in Finance? Formula & Examples | CFI

    Dec 16, 2025 · What is beta in finance? Learn how to calculate beta, see real-world examples, and know its role in risk analysis. Learn this valuation concept with CFI.

  4. What Is the Beta of a Stock? Meaning & Formula | Britannica Money

    Dec 30, 2025 · In finance, beta is a metric that represents the volatility of a security or fund relative to a benchmark. Specifically, it’s the covariance of the asset and its benchmark, …

  5. What is Beta? Definition, Importance, Example | The Motley Fool

    Beta is a measure of the systematic risk involved with a stock or other investment. It can tell investors how much a stock tends to move with overall market forces, and can be a valuable …

  6. Beta in Finance - What Is It, Formula, Vs Alpha - WallStreetMojo

    What Is A Beta In Finance? The beta in finance is a financial metric that measures how sensitive is the stock price concerning the change in the market price (index). The Beta is used for …

  7. Understanding Beta: Definition, Calculation, Uses - Investing.com

    Feb 11, 2025 · Beta is a term used in finance to measure the volatility, or systematic risk, of a security or portfolio in comparison to the market as a whole.

  8. What is Beta in Finance & How to Calculate It: A Complete Guide

    What is beta and how do you calculate beta? Beta, in finance, is a measure of a stock or portfolio’s sensitivity to market movements. It indicates the degree to which an asset’s price …

  9. What Is a Stock’s Beta? What to Know About Stock Volatility and …

    Feb 10, 2025 · What is beta in finance? In investing, beta (β) measures how much risk and volatility an investment (stock, fund, portfolio, etc.) has compared to the broader market as a …

  10. How Beta Assesses Stock Volatility and Risks in the Market

    Dec 29, 2025 · Discover how beta measures stock volatility and market risk. Learn how it's calculated and applied in investing, helping you make informed financial decisions.