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单词 Risk-Adjusted Return
释义

Risk-Adjusted Return
A concept that refines an investment's return by measuring how much risk is involved in producing that return, which is generally expressed as a number or rating. Risk-adjusted returns are applied to individual securities and investment funds and portfolios.

Investopedia Says:
There are five principal risk measures: alpha, beta, r-squared, standard deviation and the Sharpe ratio. 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 investment in order to get a relative performance perspective.

Related Terms:
Return
Risk
Risk Averse
Risk Discount
Risk-Free Rate Of Return
Risk/Return Tradeoff
Sharpe Ratio

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更新时间:2025/3/14 11:16:14