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$4.5 trillion Fidelity says Bitcoin’s risk-reward is ‘in a different universe'

2024/08/2820:00:01來源:互聯網
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Fidelity Investments is one of the largest asset managers in the world, with $4.5 trillion in assets under management. Recently, Jurrien Timmer, Fidelity’s Director of Global Macro, published a risk-reward analysis on different assets, including Bitcoin (BTC).

According to Timmer, Bitcoin’s risk-reward is “in a different universe”, as reported by Bitcoin Magazine on X (Twitter).

Essentially, financial institutions analyze risk and reward on financial assets crossing annualized volatility to annualized return. Annualized return is the average amount an investment generates each year over a given period. Higher annual returns imply better long-term profitability.

Risk vs. Return: 2020-2023, weekly data. Source: Fidelity Investments

Interestingly, the second best-performing asset is the SPX on the stock market, with a return going from 16-26% and a risk between 18 to 24 standard deviations. China has had the second-higher risk with an annualized volatility between 25 to 28 while accruing negative returns in the 3-year period.

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