GulfBase Live Support
Leave a message and our representative will contact you soon
Complete | No |
Name
|
---|---|---|
1 | What is Risk? | |
2 | Types of Risks | |
3 | Beta (ß) | |
4 | Deciding what Level of Risk to take | |
5 | Risk Tolerance |
Chapter seven takes forward the concepts of risk and return and weaves them into the picture of modern portfolio theory. Explained in detail, yet simplistically, are the concepts of portfolio theory, standard deviation, covariance, correlation, and the benefits of diversification.