Again in your view, what are the reasons for the high disagreement among investors and among non-investors regarding the first issue (the issue to the most left) on each of the two bar charts? Is this high disagreement consistent with the decision (to invest or not)? Please write down your explanation in the comment field at the bottom of this page.

Anticipated Returns: “An investment in PHAZON will yield high return.”
Potential Loss: “PHAZON will yield a negative return on investment.”
Variability in Anticipated Outcomes: “An investment in PHAZON will yield a return that falls within a wide bandwidth.”
Perceived Risk: “An investment in PHAZON is risky.”

    This is a required question

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