That's what this whole theory is about, how to get a lot of expected return without getting a lot of risk.
整个金融理论的中心,就是如何获得高收益,同时降低风险
In fact, different people might make different choices about how much risk they're willing to bear to get a higher expected return.
事实上,为了获得高的预期收益率,人们愿意承受的风险,也会不同。
It would be anywhere from here to here, depending on how much you're afraid of risk and how much you want expected return.
可以选择从这里到这里的任意一点,取决于你对风险的承受能力,和你的期望回报。
Expected value is good and variance is bad because that's risk; that's uncertainty.
期望值越高越好,方差就相反,因为方差代表着风险,也就是不确定性
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