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Investing and Portfolio Management - Coggle Diagram
Investing and Portfolio Management
Excess income
Saving
Accumulate money over time
Investing
Trade-off present for more money in the future
Interest rate
cost of borrowing
gain of investing
Investment
Commited money
Compensation
The period
Above expected rate of inflation
Risk premium
Return
Historical
Average
Risk
Uncertainty of the rate of return
Variance in the range
Reduced by diversification
Business risk
Liquidity risk
Financial risk
Exchange rate risk
Country risk