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  2. This Stock Is Up 78% in Just 3 Months. Here's Why It ... - AOL

    www.aol.com/stock-78-just-3-months-104700522.html

    The company's gross loss ratio was 73%, 10 percentage points better than the third quarter of 2023 and the first time in Lemonade's publicly traded history it came in below management's 75% target.

  3. Best defensive ETFs for plunging markets - AOL

    www.aol.com/finance/best-defensive-etfs-plunging...

    Stock market volatility can pop up at any time, potentially causing portfolio losses when you least expect it. ... Expense ratio: 0.084 percent. Invesco S&P 500 High Div Low Vol ETF (SPHD) ...

  4. Are Volatility and Risk Always Related in Investing?

    www.aol.com/finance/volatility-risk-always...

    Higher volatility implies a higher likelihood of large price swings, which may lead to higher potential losses. Portfolio management: Understanding the volatility of individual assets helps in ...

  5. Best leveraged ETFs: A high-risk, high-reward bet on short ...

    www.aol.com/finance/best-leveraged-etfs-high...

    This ETF aims for three times the daily return on the S&P 500, which can run higher quickly in a raging bull market. The average daily volume is 3.4 million shares. Expense ratio: 0.91 percent

  6. Inverse exchange-traded fund - Wikipedia

    en.wikipedia.org/wiki/Inverse_exchange-traded_fund

    An inverse ETF, like any leveraged ETF, needs to buy when the market rises and sell when it falls in order to maintain a fixed leverage ratio. This results in a volatility loss proportional to the market variance. Compared to a short position with identical initial exposure, the inverse ETF will therefore usually deliver inferior returns.

  7. Here's Why Rivian Stock Is a Buy Before Nov. 30 - AOL

    www.aol.com/heres-why-rivian-stock-buy-151500867...

    RIVN PS ratio data by YCharts; PS = price to sales.. Don't buy this stock just for near-term results. Make no mistake, Rivian is not a stock for short-term investors. If the company fails to ...

  8. Conservative Formula Investing - Wikipedia

    en.wikipedia.org/wiki/Conservative_Formula_Investing

    For the Chinese A-share market, the formula delivered annualized returns of 10.9% versus 1.4% for the CSI-300 Index for the period August 2008 to August 2018, with lower volatility. [14] In India, it significantly outperformed the S&P BSE 100 Index by 12.6% per annum over the period September 2006 to June 2022, also with lower volatility.

  9. Downside risk - Wikipedia

    en.wikipedia.org/wiki/Downside_risk

    Downside risk is the financial risk associated with losses. That is, it is the risk of the actual return being below the expected return, or the uncertainty about the magnitude of that difference. That is, it is the risk of the actual return being below the expected return, or the uncertainty about the magnitude of that difference.