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Transforming Risk: Insights on Market Dynamics
This chapter explores the transformation of risk in finance and investment strategies, emphasizing the necessity of diversification and the trade-offs in leveraging. The discussion highlights the complexities of market behavior, particularly during crises, and how factors such as Federal interventions and passive investing contribute to systemic risks. It further investigates market inefficiencies, behavioral dynamics during downturns, and the evolving nature of investment vehicles like ETFs and mutual funds.