Excel Model: Financial Risk-Return Analysis
Titolo: Financial Risk-Return Analysis
Descrizione:
This spreadsheet helps users analyze the risk and return of various investments. It includes:
- Setup: Initial configuration of investment parameters.
- Risk-Return Tracker: Recording investment names, asset classes, expected return, expected risk, and the risk-return ratio.
- Setup:
- Ensure all initial configurations are correct before inputting data.
- Risk-Return Tracker:
- Accurately record each investment’s details for precise analysis.
- Regularly review the risk-return ratio.
Fonte: Custom Calculator

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Detailed example of using Spreadsheet: Tasks for user to complete:
- Setup Section:
- Define investment parameters.
- Example values: Investment Horizon – Long-term; Liquidity – High.
- Example values: Investment Horizon – Long-term; Liquidity – High.
- Define investment parameters.
- Risk-Return Tracker:
- Enter investment details.
- Example values:
- Investment Name: Investment A
- Asset Class: Equities
- Expected Return: 10%
- Expected Risk: 5%
- Risk-Return Ratio: 2
- Example values:
- Enter investment details.
This spreadsheet consolidates risk-return information, helping users make informed investment decisions by providing a clear view of expected returns and risks.
Fonte: Custom Spreadsheet
The Financial Risk-Return Analysis spreadsheet helps manage and optimize investments by analyzing their risk-return profiles. Regular updates ensure alignment with changing market conditions and goals.