Difficulty
Beginner
Chapters
2 Chapters
Duration
0 Hr
Certificate & Badges
Included (Free)
Points
0
This module dives into different types of risks associated with mutual funds, including market risk, credit risk, and expense ratio. Explore key metrics used to measure risk (standard deviation) and potential return (historical returns). Learn to compare risk-adjusted returns (Sharpe Ratio) to identify well-performing funds.
- Identify different risks in mutual funds (market, credit, expense ratio)
- Calculate and interpret risk measures (standard deviation)
- Choose mutual funds with a favorable risk-return profile
16 minutes read
14 minutes read
Complete Quiz & Earn 20 Points
Reach the Next chapter and Uncover more challenges
Upon successful completion of the course, you will be awarded an exclusive Badge of Achievement. This Badge not only signifies your commitment to mastering the intricacies of the stock market but also serves as a valuable asset to showcase on professional platforms like LinkedIn.