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Risk in finance is the potential to lose money or face unexpected outcomes in investment and economic activities. It is broadly categorized into systematic and unsystematic risks.

Systematic Risks: Systematic risks, also known as market risks, affect the entire market or economy. These risks are inherent to the financial system and cannot be eliminated through diversification. Examples of systematic risks include significant economic declines, global events like pandemics, changes in interest rates, and political instability. When such events occur, they impact all investments across the board, regardless of individual performance. Investors must recognize that systematic risks are unavoidable and can lead to widespread declines in investment values.

Unsystematic Risks: Unsystematic risks, also known as specific or idiosyncratic risks, are those that affect a particular company or industry. These risks arise from individual factors such as a company's management decisions, product failures, or internal fraud. Unlike systematic risks, unsystematic risks can be mitigated through diversification. By spreading investments across different companies and sectors, investors can reduce the impact of poor performance in any single investment. Effective management of unsystematic risks involves thorough research and strategic allocation of assets.

Understanding and managing both types of risks is crucial for minimizing potential losses and achieving long-term investment goals. Investors must assess their risk tolerance and employ strategies such as diversification and diligent research to navigate the uncertainties in financial markets. This approach helps ensure financial stability and optimize the chances of investment success.

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RiskFinanceSystematic RiskUnsystematic RiskMarket RiskInvestment LossesDiversificationEconomic ActivitiesInvestment ValuesRisk ManagementFinancial StabilityInvestor StrategiesAsset AllocationRisk Tolerance

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6.3 : Types of Risk

Risk and Return

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6.1 : Risk

Risk and Return

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6.2 : Return

Risk and Return

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6.4 : Types of Risk: Systematic Risk

Risk and Return

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6.5 : Types of Risk: Unsystematic Risk

Risk and Return

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6.6 : Expected Return

Risk and Return

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6.7 : Relationship Between Risk and Return

Risk and Return

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6.8 : Variance

Risk and Return

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6.9 : Standard Deviation

Risk and Return

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6.10 : Risk Premium

Risk and Return

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6.11 : Beta

Risk and Return

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6.12 : Security Market Line

Risk and Return

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6.13 : Capital Asset Pricing Model: Introduction

Risk and Return

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6.14 : Capital Asset Pricing Model: Application

Risk and Return

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6.15 : Portfolio Risk and Return

Risk and Return

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