Investment Types
Portfolio Management
Risk & Return
Market & Economy
Different
100

A share of ownership in a company

Stock

100

A collection of different investments.

Portfolio 

100

The financial gain from an investment

Return

100

A market with rising stock prices.

Bull

100

Investing the same amount regularly over time

Averaging

200

A debt instrument issued by corporations or governments.

Bond

200

The process of spreading investments to reduce risk

Diversification

200

The chance of losing money in an investment

Risk

200

A market with falling stock prices.

Bear

200

Buying stocks when their prices drop

Value

300

A fund that pools money to invest in multiple securities.

Mutual Fund

300

Adjusting a portfolio to maintain target allocations

Rebalancing

300

A measure of how much an investment's price fluctuates.

Volatility

300

The increase in prices of goods and services over time. 

Inflation

300

Investing in different asset classes to minimize risk

Hedging

400

A fund that tracks a stock index like the S&P 500.

ETF

400

The mix of stocks, bonds, and cash in a portfolio

Allocation

400

The return an investor expects based on risk

Yield

400

The total value of all goods and services in a country

GDP

400

Overconfidence in making investment decisions.

Bias

500

An investment in physical assets like real estate or gold.

Commodity

500

A fund designed to change allocation as retirement nears.

Target-Date

500

The practice of evaluating an investment’s true worth. 

Valuation

500

The interest rate set by a central bank

Fed Rate

500

The mental accounting of money in different categories. 

Framing 

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