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  2. Sharpe ratio - Wikipedia

    en.wikipedia.org/wiki/Sharpe_ratio

    Sharpe ratios, along with Treynor ratios and Jensen's alphas, are often used to rank the performance of portfolio or mutual fund managers. Berkshire Hathaway had a Sharpe ratio of 0.79 for the period 1976 to 2017, higher than any other stock or mutual fund with a history of more than 30 years.

  3. Modigliani risk-adjusted performance - Wikipedia

    en.wikipedia.org/wiki/Modigliani_risk-adjusted...

    Modigliani risk-adjusted performance (also known as M 2, M2, Modigliani–Modigliani measure or RAP) is a measure of the risk-adjusted returns of some investment portfolio. It measures the returns of the portfolio, adjusted for the risk of the portfolio relative to that of some benchmark (e.g., the market).

  4. Jensen's alpha - Wikipedia

    en.wikipedia.org/wiki/Jensen's_alpha

    In finance, Jensen's alpha [1] (or Jensen's Performance Index, ex-post alpha) is used to determine the abnormal return of a security or portfolio of securities over the theoretical expected return. It is a version of the standard alpha based on a theoretical performance instead of a market index .

  5. Best total stock market index funds - AOL

    www.aol.com/finance/best-total-stock-market...

    Historical performance (5-year annual): 14.7 percent. Expense ratio: 0.03 percent. Top-performing total stock market mutual funds. Many of the ETFs mentioned above are also offered in mutual fund ...

  6. Modified Dietz method - Wikipedia

    en.wikipedia.org/wiki/Modified_Dietz_method

    The modified Dietz method [1] [2] [3] is a measure of the ex post (i.e. historical) performance of an investment portfolio in the presence of external flows. (External flows are movements of value such as transfers of cash, securities or other instruments in or out of the portfolio, with no equal simultaneous movement of value in the opposite direction, and which are not income from the ...

  7. 7-day SEC yield - Wikipedia

    en.wikipedia.org/wiki/7-day_SEC_yield

    The calculation is performed as follows: Take the net interest income earned by the fund over the last 7 days and subtract 7 days of management fees. Divide that dollar amount by the average size of the fund's investments over the same 7 days. Multiply by 365/7 to give the 7-day SEC yield.

  8. 30-day yield - Wikipedia

    en.wikipedia.org/wiki/30-day_yield

    A bond fund's 30-day yield may appear in the fund's "Statement of Additional Information (SAI)" in its prospectus. Because the 30-day yield is a standardized mandatory calculation for all United States bond funds, it serves as a common ground comparison of yield performance. [1]

  9. Bias ratio - Wikipedia

    en.wikipedia.org/wiki/Bias_ratio

    The bias ratio is an indicator used in finance to analyze the returns of investment portfolios, and in performing due diligence.. The bias ratio is a concrete metric that detects valuation bias or deliberate price manipulation of portfolio assets by a manager of a hedge fund, mutual fund or similar investment vehicle, without requiring disclosure (transparency) of the actual holdings.

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