Journals › Basic Terminologies
Poore market ka risk, jo diversification se nahi hat-ta.
Published by The Retail Trader · JUL 31, 2026 · Risk Management
Systematic Risk — Poore market ka risk, jo diversification se nahi hat-ta.
Ye term Risk Management ke andar aati hai, "PORTFOLIO KE RISK" wale hisse mein. Kai positions ek saath rakhne par naye tarah ke risk aate hain:
Isi group ke baaki shabd — inhe saath samajhna zyada kaam aata hai:
• Diversification
• Correlation
• Concentration Risk
• Beta
• Unsystematic Risk
• Overnight Risk / Gap Risk
• Event Risk
• Black Swan
• Liquidity Risk
Poora group aur uske saare examples ek jagah padhne ke liye "RISK MANAGEMENT: BACHNE KI DICTIONARY" wala journal dekho — ye term wahin se li gayi hai.
Ye entry sirf educational hai — koi buy ya sell recommendation nahi. Charges, margins, lot size aur expiry rules exchange time-time par badalte hain, isliye koi bhi number apne broker ya exchange par verify karo.