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Risk Objective - Below Average, Average, Above Average

If we are asked to identify the investor's risk objective based on :

Below Average
Average
Above Average

Would it make sense to expect that Below Average and Above Average are the most likely answers, since it's so hard (and so vague) to define what an "average" risk appetite is ?
Therefore in order to avoid any ambiguity (which is the spirit of all cfa questions), it would be one of the two extremes..

any insights?
Thanks!

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