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Summary

  1. CAPM(資本資產定價模型)— 經典的財務模型
  2. 風險可以分兩類 : 系統性風險 與 非系統性風險
  3. Beta (β) – 資產對市場變動的敏感程度
  4. 用 CAPM 計算預期報酬率
  5. Alpha(α) – 資產的額外報酬
  6. 延伸閱讀:
  7. 【Growin Discord 投資交流社群誠摯邀請!】

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