You are viewing a single comment's thread from:

RE: LeoThread 2024-12-20 01:26

in LeoFinance21 days ago

Part 4/11:

In referring to the standard deviation—the measure of volatility—Evan explains that while a projected average return of 7% might look achievable on paper, actual market performance can deviate dramatically from this figure. Through real-world modeling, he showcases that expecting consistent annual gains without any risks is a significant oversight.