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MARA (Multi-Asset Risk Assessment)

MARA, or Multi-Asset Risk Assessment, is a method used to evaluate the potential risks associated with a variety of investment assets, such as stocks, bonds, and real estate. It involves analyzing factors like market volatility, economic trends, and asset correlations to understand how different investments might behave under various scenarios. This assessment helps investors make informed decisions by identifying which assets could pose higher risks and which might offer better protection or returns, allowing for more effective portfolio management and risk mitigation strategies.