Entrar

Risk in finance refers to the uncertainty and potential for loss accompanying any investment decision. This concept applies to both individuals and businesses, as both seek to increase the value of their investments while managing the potential downsides.

For individuals, risk is evident in activities such as investing in stocks, bonds, or other assets. When individuals invest money, they hope to achieve a positive return, but there is always a chance that the investment may perform differently than expected, leading to financial loss. This uncertainty in the outcome exemplifies financial risk. Effective risk management for individuals includes strategies like diversification and thorough research to mitigate potential losses.

For businesses, risk is a crucial factor in decision-making processes related to investments, operations, and strategic planning. Businesses invest in projects, enter new markets, or develop new products with the expectation of generating profits. However, these activities come with inherent risks, such as market fluctuations, operational failures, or competitive pressures. To manage these risks, businesses implement comprehensive risk management practices, which may include conducting market analysis, securing insurance, and developing contingency plans.

In both cases, understanding and managing risk is essential for making informed financial decisions. By carefully assessing the potential for gains against the likelihood of losses, individuals and businesses can navigate uncertainties and optimize their investment outcomes.

Tags
Financial RiskInvestment DecisionUncertaintyPotential LossRisk ManagementDiversificationFinancial LossMarket FluctuationsOperational FailuresStrategic PlanningProfit GenerationMarket AnalysisInsuranceContingency Plans

Do Capítulo 6:

article

Now Playing

6.1 : Risk

Risk and Return

312 Visualizações

article

6.2 : Return

Risk and Return

129 Visualizações

article

6.3 : Types of Risk

Risk and Return

129 Visualizações

article

6.4 : Types of Risk: Systematic Risk

Risk and Return

121 Visualizações

article

6.5 : Types of Risk: Unsystematic Risk

Risk and Return

120 Visualizações

article

6.6 : Expected Return

Risk and Return

76 Visualizações

article

6.7 : Relationship Between Risk and Return

Risk and Return

236 Visualizações

article

6.8 : Variance

Risk and Return

63 Visualizações

article

6.9 : Standard Deviation

Risk and Return

162 Visualizações

article

6.10 : Risk Premium

Risk and Return

87 Visualizações

article

6.11 : Beta

Risk and Return

102 Visualizações

article

6.12 : Security Market Line

Risk and Return

179 Visualizações

article

6.13 : Capital Asset Pricing Model: Introduction

Risk and Return

143 Visualizações

article

6.14 : Capital Asset Pricing Model: Application

Risk and Return

122 Visualizações

article

6.15 : Portfolio Risk and Return

Risk and Return

90 Visualizações

See More

JoVE Logo

Privacidade

Termos de uso

Políticas

Pesquisa

Educação

SOBRE A JoVE

Copyright © 2025 MyJoVE Corporation. Todos os direitos reservados