Menu
Home
Advertise
Forums
Search forums
What's new
Unread posts
Latest activity
Earn Money
Review Website/Apps
Passive Income
Money apps
Paid Survey
Stock
Forex
Real estate
Paid to write
Social Media Monetization
Crytocurrency
Bitcoin (BTC)
Ethereum (ETH)
Crypto Exchange
Mining
Crypto Faucet / Airdrops
Binance
Business
Business strategy
Funding a business
Marketing
Digital Marketing
Social media marketing
Email marketing
Brand management
Personal Finance
Money Saving
Personal loan
Retirement
Debt help
Savings for Students
Tax relief
Insurance
Car Insurance
Life Insurance
Liability Insurance
Home Insurance
Health Insurance
Disability Insurance
FAQ
Log in
Register
What's new
Search
Search
Search titles only
By:
Search forums
Menu
Log in
Register
Install the app
Install
Home
Forums
Money Making Forums
Make Money Online
Stock
Diversification Strategy and Stock Allocation
JavaScript is disabled. For a better experience, please enable JavaScript in your browser before proceeding.
You are using an out of date browser. It may not display this or other websites correctly.
You should upgrade or use an
alternative browser
.
Reply to thread
Message
[QUOTE="Suba, post: 342497, member: 3658"] If an investor has succeeded in collecting stocks in large quantities/values then he needs to immediately diversify, that is, not only investing in one type of stock or shares from the issuer, so investors need to divide their shares into several investment instruments or portfolios such as mutual funds and bonds. So if the stock issuer goes bankrupt, they still have other investment reserves. So basically every investor must carry out diversification and allocation as a process which means as a strategy the funds will be distributed to several types of investment instruments such as property, shares, bonds, deposits, savings etc. The main goal of diversification is to create a balance in all investment instruments owned by an investor. The higher the expected level of profit, the higher the level of risk that must be borne and vice versa. Risk Tolerance and Risk Profile Risk tolerance is the minimum risk limit and the maximum level of risk that an investor must take, so it is closely related to the risk profile such as conservative, moderate or aggressive. [/QUOTE]
Insert quotes…
Verification
Post reply
Home
Forums
Money Making Forums
Make Money Online
Stock
Diversification Strategy and Stock Allocation
Top