This book focuses on risk and return on investments. It describes how one can measure the risk and return of investing in an asset. It describes the changes in risk and return depending on changes in different factors, such as interest rate, time, price, and the amount of the assets. This book also uses specific examples to convey to anyone who wishes to invest in any asset the advantage(s) and disadvantage(s) of investing in that asset.
This book is essential to assist students who are studying business and finance in undergraduate, graduate, and post-graduate levels.