Srovnání vybraných investičních nástrojů

Abstract

This bachelor thesis examines and compares selected investment instruments, including gold, bitcoin, two indexed instruments, and two US company stocks. One of the criteria for comparison is the average annual return, providing insight into their performance. The standard deviation, which indicates the degree of volatility of returns, is also examined. The comparison is made over two investment horizons. All data were obtained from publicly available sources. The results show the differences in performance and volatility between different types of investment instruments and allow investors to assess the suitability of each instrument for their portfolio on the basis of expected returns and risk tolerance.

Description

Subject(s)

investment, instrument, bitcoin, gold, stock, index, fund, return, risk, comparison

Citation