Risk management is the central to any investment activities and at HCL Fintech we take risk Management very seriously. Risk management involves identifying, analysing, and accepting or mitigating uncertainty in investment decisions and process. Put simply, it is the process of monitoring and dealing with the financial risks associated with investing.
Risk management essentially occurs when an investor or fund manager analyses and attempts to quantify the potential for losses in an investment, such as a moral hazard, and then takes the appropriate action (or inaction) to meet their objectives and risk tolerance.
In investment Risk is Uncertainty, volatility, Principal Loss and Sustainability. Through our expertise in analysing the return and risk associated we have realised that as a financial adviser we are concerned about two core concepts of return: Absolute Return and Risk Adjusted Annualised Return.
Thus, analysing numerous investment options on the basis of risk adjusted return is the core to our Risk Management activities. We are happy to serve our investors with investment solutions that have delivered highest Risk Adjusted return.
Office 1&2, Aravee Gracia, Opp
MORE Mall, Dargah Road, Aurangabad,
Maharashtra 431005
+91 9552295521