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What is Risk and Return in Finance Explained about?
Chapter Two discusses the fundamental concepts of risk and return in finance, emphasizing the time value of money and the tradeoff between risk and return in investment decisions. It explains how to measure historical rates of return, expected returns, and the risk associated with these returns using variance and standard deviation. Additionally, it introduces the Capital Asset Pricing Model (CAPM) as a tool for assessing the risk and expected return of investments.
- Author
- belay wube
- Language
- EN