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The RiskRatings™: Your Guide to Risk vs. Return

The relationship between Risk and Returns is poorly understood by most DIY investors. This 20-page guide provides a clear and insightful introduction to Risk and Return for stock picking investors.

The RiskRatings™ Your Guide to Risk vs. ReturnView this report

In this guide you will discover:

  • The theory vs the reality of Risk and Returns.

  • Stockopedia’s 5 RiskRatings and how you can use them to easily understand upside and downside volatility.

  • How a stock’s volatility correlates with market cap and a stock’s Quality, Value, and Momentum.

  • Which RiskRatings do best in bullish or bearish markets.

  • A hidden way to potentially outperform - the “Low Volatility Anomaly”.


Created by

CEO of Stockopedia
Ed Croft
CEO of Stockopedia
Tom Firth