Examlex
The causal model of the behavior disorders that is termed multifactorial may also be called the ____ model.
Sharpe Ratio
A measure used to assess the risk-adjusted return of an investment by comparing its excess return to its standard deviation of returns.
Holding Period
The length of time an investment is held by an investor before being sold, which can affect tax treatment and investment strategy.
Correlation Coefficients
A measure that indicates the extent to which two variables change together, ranging from -1 to 1, where 1 means perfect positive correlation, and -1 means perfect negative correlation.
Diversification Benefits
The reduction in investment risk that is achievable by holding a variety of different investment instruments that have low correlation with each other.
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