

521 risk, return and volatility
In this episode Dev unpacks the three pillars of investing: risk, return, and volatility. He covers:
๐๐ฟ how to figure out your personal risk tolerance
๐๐ป why chasing high returns usually means more risk
๐ what volatility actually means (and why itโs normal)
๐๐ผ what is the efficient frontier
๐๐ฝ how diversification helps manage risk
๐๐พ the impact of inflation on long-term returns
๐๐ป modern portfolio theory
๐๐ฟ why past performance isnโt a reliable guide
๐ the importance of aligning your strategy with your goals
Related episodes ๐ง
228 what is modern portfolio theory? Listen on Apple | Listen on Spotify
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