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.
More Books Like This
The Only Guide You'll Ever Need for the Right Financial Plan
2010
CFA® Program Changes: A Member’s Primer—Five Key Curriculum Updates since 2008
2017
Finance and Investing for the Long Run: Investing for Young Adults to Make the Most of Their Money
2022
The Only Guide to Alternative Investments You'll Ever Need
2010
New Vistas in Risk Profiling
2017
The Intelligent Portfolio
2010
More Books by Sam Ghosh
Customers Also Bought
Someday Is Not a Plan: A Guide to Understanding Money in Plain English
2011
Personal Finance Under One Hour: Section 1 - Income and Spending
2014
Ten Golden Rules of Equity Investment
2012
The Asset Allocation Guide to Wealth Creation
2013
Pinch Like You Mean It! 101 Ways to Spend Less Money Now
2014
Deliberate Confusion Behind the Stock Market & the Rise of the Independent Investor
2014