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Personal Financial Planning
13. CHAPTER 12: INTRODUCTION TO INVESTMENT CONCEPTS/Measures of Risk
13. CHAPTER 12: INTRODUCTION TO INVESTMENT CONCEPTS Illustration
Syllabus Slides

Measures of Risk

01.Core Concepts

• Beta—measure of systematic risk derived from regression analysis • Standard deviation—measures total volatility and total risk (systematic and unsystematic risk) • Semivariance—measures downside volatility