Episode 5: Standard Deviation as Investment Risk?
Автор: Wilson Wealth Management
Загружено: 2021-01-22
Просмотров: 151
Описание:
Comparing investment risk between assets is difficult. Different asset classes, subclasses, geographies, etc. Assessing investment choices becomes an "apples to oranges" proposition.
How do investors turn analysis into "apples to apples" comparisons? Through the use of standard deviations. A look at this concept, common risk/return ratios, and limitations of standard deviation as a risk measure.
Повторяем попытку...
Доступные форматы для скачивания:
Скачать видео
-
Информация по загрузке: