Treynor Ratio Adalah at Isaac Randy blog

Treynor Ratio Adalah. In contrast to the sharpe ratio, which adjusts return with the standard deviation of the portfolio, the treynor ratio uses the portfolio beta, which is a measure of systematic risk. The treynor ratio is a portfolio performance measure that adjusts for systematic risk. The treynor ratio helps investors assess how well a portfolio can compensate them for taking on market risk. Secara umum, treynor ratio bisa dipahami sebagai rasio yang digunakan untuk mengetahui imbal hasil instrumen investasi pasca dikurangi. What is the treynor ratio? The treynor ratio is a measure of a portfolio’s excess return per unit of systematic risk, or the market.

TREYNOR RATIOS FED TAPERING. ppt download
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The treynor ratio helps investors assess how well a portfolio can compensate them for taking on market risk. The treynor ratio is a portfolio performance measure that adjusts for systematic risk. In contrast to the sharpe ratio, which adjusts return with the standard deviation of the portfolio, the treynor ratio uses the portfolio beta, which is a measure of systematic risk. What is the treynor ratio? Secara umum, treynor ratio bisa dipahami sebagai rasio yang digunakan untuk mengetahui imbal hasil instrumen investasi pasca dikurangi. The treynor ratio is a measure of a portfolio’s excess return per unit of systematic risk, or the market.

TREYNOR RATIOS FED TAPERING. ppt download

Treynor Ratio Adalah Secara umum, treynor ratio bisa dipahami sebagai rasio yang digunakan untuk mengetahui imbal hasil instrumen investasi pasca dikurangi. What is the treynor ratio? The treynor ratio helps investors assess how well a portfolio can compensate them for taking on market risk. In contrast to the sharpe ratio, which adjusts return with the standard deviation of the portfolio, the treynor ratio uses the portfolio beta, which is a measure of systematic risk. The treynor ratio is a portfolio performance measure that adjusts for systematic risk. The treynor ratio is a measure of a portfolio’s excess return per unit of systematic risk, or the market. Secara umum, treynor ratio bisa dipahami sebagai rasio yang digunakan untuk mengetahui imbal hasil instrumen investasi pasca dikurangi.

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