Course
Risk Management
Stock market investments have always been high-risk, high-return investments. It is because when the economy is thriving, businesses tend to excel, increasing the value of common stocks or shares in these companies.
The systematic process of discovering, assessing, and minimising potential risks related to investing in stocks and securities is known as risk management in the stock market. It entails a variety of tactics and methods designed to safeguard an investor’s money and maximise returns.
Get Free Demo Contact Us- Understanding risk and return
- Types of risk: market risk, company-specific risk, systematic risk, etc.
- Diversification and portfolio management strategies
- Setting financial goals and risk tolerance
- Tools for risk management: stop-loss orders, hedging strategies, etc.