_____ is the probability of getting return. It is measured in terms of deviation between actual return and expected return.*PortfolioInvestmentReturnDerivativeRisk
Question
_____ is the probability of getting return. It is measured in terms of deviation between actual return and expected return.*PortfolioInvestmentReturnDerivativeRisk
Solution
The term that fits the description "the probability of getting return. It is measured in terms of deviation between actual return and expected return" is Risk. In the context of investments, risk refers to the degree of uncertainty and/or potential financial loss inherent in an investment decision. In other words, it represents the variability of possible returns associated with a given investment.
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