Abstract: Investment portfolios will need to match the risk profile of the investor. This 3 page paper considers how the risk of an investment fund or portfolio can be measures. The use of the beta and standard deviation are explained as suitable risk measurement tools. The bibliography cites 2 sources.
Filename: TEriskmea.rtf
Pages: 3
Catagory: Money & Banking / Corporate Finance
Subcatagory: Accounting & Personal Finance
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