In Framework of Risk Comparison of Securities Investment Associations Sectoral Indexes with Other Sectoral Indexes in ISE 100

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Umut Tolga Gümüş
Yusuf Kaderli
Kemal Özdemir
Ahmet Fatih Kılıç

Abstract

Among financial markets, stock market is one of the riskiest markets. That is why investors need to be found in approaches that can eliminate their risks when trading in these markets. One of the most effective ways to do this is to diversify or invest in assets with diversification. One of the assets with diversification is securities investment trusts. The purpose of this study is to compare the financial risks carried by other sectors and the risk that the securities investment trusts are carried Forward and the risk levels between the mare compared with the high and low risk levels. This issue is of particular significance at the risk level in terms of being a natural diversification component of securities investment trusts in order to guide investors who want to invest in financial markets. The findings show that investing in securities investment trusts alone is less risky than investing in other sectors. It means that investment trusts are seen as ideal selection for investors who want to avoid from risk

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Gümüş, U. T., Kaderli, Y., Özdemir, K., & Kılıç, A. F. (2021). In Framework of Risk Comparison of Securities Investment Associations Sectoral Indexes with Other Sectoral Indexes in ISE 100. Social, Human and Administrative SciencesSEARCH, 2(8), 563–573. Retrieved from https://sobibder.org/index.php/sobibder/article/view/48
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