In finance, risk is the possibility that actual returns will differ from expected returns. Higher risk = higher potential return AND higher potential loss. Types: market risk (prices fall), credit risk (borrower defaults), liquidity risk (can't sell), inflation risk (returns don't keep up with inflation), concentration risk (too much in one asset).
What is Risk?
In finance, risk is the possibility that actual returns will differ from expected returns. Higher risk = higher potential return AND higher potential loss. Type