Question....if I have 4 companies:
Company A - market value of stock is $7900 with a beta of .88
Company B - market value of stock is $1800 with a beta of 1.1
Company C - market value of stock is $11,900 with a beta of .60
Company D - market value of stock is $5,500 with a beta of 1.2
Will the information above offer a conclusion that the market will have a higher level of volatility the market?