Risk Management for Small Investors
Publisher Description
Investors can be broadly divided into two major groups based on their affinity to risk - those who want to take lots of risk to grow their capital and those who are totally risk averse. This book is for both of these types. Investors who want to take risks may underestimate the amount and types of risks they are exposed to. On the other hand, investors who avoid risk may unknowingly expose themselves to some other risk they do not know about. This book will help investors understanding different kind of risk, when they get exposed to them and what they can do to manage those risks.
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