How To Calculate Adjusted Stock Beta?

I want to calculate stock beta for creating a portfolio. I know how to adjust price for Split but don’t know about Dividend, Bonus and Right Issue adjustment.
Also beta is a sensitivity parameter of volatility in stock price with market. So how would the dividend adjustment be useful if we follow the basic rule of Technical Analysis – “Market Discounts Everything”.
If only the volatility in price is to be measured, should I need to make adjustment for corporate actions other than Splits in the closing Price.

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