The evaluation of low and medium risk investment tools in Lithuanian financial market
Abstract
The article emphasizes the importance of low and medium risk investments tools performance
evaluation in Lithuanian market. Main risks, possible classification and comparison of low and medium
risk investments tools in Lithuania are presented. Using experts’ suggestions considering risk and return
are a couple of possible investment portfolios are presented for investors anticipating high risks. All proposed portfolios were diversified and non one suggests investment only into one tool. It is expected that
scientific recommendations made on the basis of the analysis will be helpful for all personal investors to
understand main features, real risk and return of conservative investments tools.