Risk Measures
外汇网2021-06-19 16:11:57
121
Statistical measures that are historical pdictors of investment risk and volatility and major components in modern portfolio theory (MPT). MPT is a standard financial and academic methodology for assessing the performance of a stock or a stock fund compared to its benchmark index.
Taobiz explains Risk Measures
There are five principal risk measures:
Alpha: Measures risk relative to the market or benchmark index
Beta: Measures volatility or systemic risk compared to the market or the benchmark index
R-Squared: Measures the percentage of an investment's movement that are attributable to movements in its benchmark index
Standard Deviation: Measures how much return on an investment is deviating from the expected normal or average returns
Sharpe Ratio: An indicator of whether an investment's return is due to smart investing decisions or a result of excess risk.
Each risk measure is unique in how it measures risk. When comparing two or more potential investments, an investor should always compare the same risk measures to each different potential investment to get a relative performance.
标签:
随机快审展示
加入快审,优先展示
推荐文章
- 黑马在线:均线实战利器 9280 阅读
- 短线交易技术:外汇短线博弈精讲 4511 阅读
- MACD震荡指标入门与技巧 4643 阅读
- 黄金操盘高手实战交易技巧 5065 阅读
- 做精一张图 3760 阅读
热门文章
- 港币符号与美元符号的区别是什么啊? 27338 阅读
- 我国各大银行汇率为什么不一样啊? 17322 阅读
- 越南盾对人民币怎么算的?越南盾对人民币汇率换算方法是什么 12299 阅读
- 百利好环球欺诈,不给出金,无法联系。 11360 阅读
- 港元符号是什么啊 港元符号跟美元符号是一样吗 10475 阅读