Answer to Question #295858 in Finance for GIGIG

Question #295858

When assessing risk, a rational investor will never use:

a. standard deviation of return

b. normal probability distribution as a general characteristic of financial market

c. variance of either return series or stock price series

d. probability of a loss

e. potential loss*


1
Expert's answer
2022-02-17T11:11:35-0500

e. potential loss


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