avkastningsosäkerhet
Avkastningsosäkerhet refers to the uncertainty surrounding the future returns of an investment. It is a fundamental concept in finance and economics, acknowledging that actual outcomes may differ from expected results. This uncertainty arises from various factors, including market volatility, economic conditions, company-specific risks, and unforeseen events. Investors face avkastningsosäkerhet because the future performance of any asset, whether it's stocks, bonds, real estate, or any other investment, cannot be predicted with absolute certainty.
The degree of avkastningsosäkerhet can vary significantly between different types of investments. For instance, government bonds
Measuring and managing avkastningsosäkerhet is a key aspect of portfolio management. Statistical measures like standard deviation