Introduction to Finance

34 Stock Risk and Return

About this lesson
Learn how to quantify the risk and return of stocks in this informative video. We break down the concept of expected return, explaining why a simple average isn't sufficient and introducing the weighted average calculation using probabilities. Discover how to measure risk through standard deviation, detailing the steps to calculate variance and its square root. This video provides a clear, step-by-step guide with practical examples. Visit AxiomTutoring.com and subscribe to @AxiomTutoringCourses for more educational content.
Walkthrough

Follow the reasoning, step by step.

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