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巧克力濃度選擇=投資風險偏好?用σ重新理解你該怕什麼? | EP39 episode artwork

EPISODE · Jan 15, 2026 · 30 MIN

巧克力濃度選擇=投資風險偏好?用σ重新理解你該怕什麼? | EP39

from TarahLink泰衡投資好平衡 · host 泰衡 TarahLink.com

你喜歡70%的黑巧克力,朋友卻只敢吃70%的甜巧克力? 在投資世界其實也一樣。有些人可以承受價格劇烈波動,有些人只要帳面下跌就睡不著覺。我們通常把這種差異叫做「風險承受度」,但真正的核心是對「不確定性」的耐受力。這一集我們從巧克力濃度的偏好出發,帶你理解投資裡最重要卻最常被誤解的概念之一σ(Sigma,波動度)AKA風險! 泰衡TarahLink夥伴: Daniel,旅居新加坡的台灣人,20年金融業與投資經驗。 Ivy,對金融理財投資相當有興趣的Gen Z中英口譯員。喜歡大量閱讀,覺得保有好奇心跟求知慾很重要。仍在摸索不同領域中! TarahLink泰衡指標: https://tarahlink.com/?utm_source=online&utm_medium=firstory&utm_campaign=firstory 商務合作、找我們聊聊:, [email protected]。 留言告訴我們你的想法: https://open.firstory.me/user/cmbdk3pod0hbg01xxe4ga9399/comments Powered by Firstory Hosting

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巧克力濃度選擇=投資風險偏好?用σ重新理解你該怕什麼? | EP39

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This episode was published on January 15, 2026.

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