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Seshadri's Risk Model

Seshadri's Risk Model is a framework used to assess the potential risk and return associated with investments in various sectors. It emphasizes understanding the likelihood of different outcomes and the impact of uncertainties, particularly in volatile markets. By analyzing historical data and market conditions, the model helps investors make informed decisions about where to allocate their resources, balancing the potential gains against possible losses. Ultimately, it aims to enhance investment strategies by providing a clearer picture of the associated risks and rewards.