Investment Funds in Croatia Face Heightened Risk Due to Market Conditions
The article discusses how businesses in Croatia manage risks when investing in open-end investment funds. These funds allow investors to buy shares in a pool of assets like stocks and bonds. The researchers used statistical methods to measure and analyze the risks associated with these investments. They found that higher potential returns from investment funds also come with higher levels of risk. By quantifying and understanding these risks, businesses can develop strategies to minimize their impact on investments.