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Anticipated Risk of various Investment Avenues (Shares (Neutral (12%), Low…
Anticipated Risk of various Investment Avenues
Shares
Neutral (12%)
Low (5%)
High (45%)
Very Low (1%)
Very High (37%)
Futures & Options
High (18%)
Neutral (13%)
Very High (61%)
Low (4%)
Very Low (3%)
Fixed Deposits
Neutral (15%)
Low (22%)
High (5%)
Very High (2%)
Very Low (56%)
Real Estate
Neutral (33%)
Low (20%)
High (27%)
Very High (13%)
Very Low (7%)
Debentures/Bonds
Neutral (40%)
Low (32%)
High (12%)
Very Low (13%)
Very High (3%)
Mutual Fund/SIP
Neutral (41%)
Low (25%)
High (25%)
Very Low (8%)
Very High (1%)
NSC/PF/PPF
Neutral (16%)
Low (19%)
High (5%)
Very Low (59%)
Very High (2%)
Bullion
Low (25%)
Very Low (7%)
Neutral (33%)
High (24%)
Very High (11%)
Insurance Policies
Low (26%)
Very Low (36%)
Neutral (27%)
High (8%)
Very High (4%)