Publisher Description

This content provides financial analysts, investment professionals, and financial planners with a review of how financial risk-tolerance tests can and should be evaluated. It begins by clarifying terms related to risk taking and is followed by a broad overview of two important measurement terms: validity and reliability. It concludes with examples for practice.

GENRE
Business & Personal Finance
RELEASED
2017
July 6
LANGUAGE
EN
English
LENGTH
20
Pages
PUBLISHER
CFA Institute Research Foundation
SELLER
Research Foundation of CFA Institute
SIZE
707.7
KB

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