المستخلص: |
All investors in the financial markets aim at achieving returns that guarantee for them minimum risks that their investments may be vulnerable to, including those that may result from fluctuation in prices of securities invested or exchange rate fluctuations as well as the risk of not being able to abstain from investments at a given time. Therefore, it is difficult for investors to determine returns of investments achieved. However, the risks in these investments can be reduced through a well thought out process of establishing investment portfolios that depend on diversification. Construction a portfolio under a scientific and studied stardordards is acrucial to have asucsessful investment
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