- portfolio ratio
- портфельне співвідношення
The English-Ukrainian Dictionary. Economics, Finance, Banking, Investmentss, Bank Loans. S. Ya. Yermolenko, V. I. Yermolenko. 2002.
The English-Ukrainian Dictionary. Economics, Finance, Banking, Investmentss, Bank Loans. S. Ya. Yermolenko, V. I. Yermolenko. 2002.
Ratio — ist ein lateinischer Begriff und wird häufig mit Vernunft oder Verstand übersetzt. In der Mathematik dagegen bedeutet das Wort meist „Verhältnis“ beziehungsweise „Quotient“ und weist darauf hin, dass eine Größe zu einer anderen in Beziehung… … Deutsch Wikipedia
Portfolio Management — Unter Portfoliomanagement versteht man die Zusammenstellung und Verwaltung eines Portfolios, d. h. eines Bestandes an Investitionen, im Sinne der mit dem Investor vereinbarten Anlagekriterien, insbesondere durch Käufe und Verkäufe mit Blick auf… … Deutsch Wikipedia
Portfolio (finance) — In finance, a portfolio is an appropriate mix of or collection of investments held by an institution or a private individual. Holding a portfolio is part of an investment and risk limiting strategy called diversification. By owning several assets … Wikipedia
Portfolio Turnover Ratio — Die Portfolio Turnover Ratio (Besser: Portfolio Turnover Rate, Abkürzung: PTR) gibt an, wie viele Transaktionen auf Basis einer meistens jährlichen Berechnung im Vermögen eines Investmentfonds oder eines Wertpapierportfolios vorgenommen wurden.… … Deutsch Wikipedia
ratio — the proportional relationship of one thing to another * * * ratio ra‧ti‧o [ˈreɪʆiəʊ ǁ ˈreɪʆoʊ] noun [countable] a relationship between two amounts that is represented by a pair of numbers showing how much greater one amount is than the other: •… … Financial and business terms
portfolio turnover ratio — portfelio apyvartumo rodiklis statusas Aprobuotas sritis kolektyvinio investavimo subjektų veikla apibrėžtis Rodiklis, kuriuo apibūdinamas prekybos investicinėmis priemonėmis, sudarančiomis pensijų fondo ar kolektyvinio investavimo subjekto… … Lithuanian dictionary (lietuvių žodynas)
Portfolio Turnover — A measure of how frequently assets within a fund are bought and sold by the managers. Portfolio turnover is calculated by taking either the total amount of new securities purchased or the amount of securities sold whichever is less over a… … Investment dictionary
portfolio transaction costs — The expenses associated with buying and selling securities, including commissions, purchase and redemption fees , exchange fees, and other miscellaneous costs. In a mutual fund prospectus, these expenses are listed separately from the fund s… … Financial and business terms
Modern portfolio theory — Portfolio analysis redirects here. For theorems about the mean variance efficient frontier, see Mutual fund separation theorem. For non mean variance portfolio analysis, see Marginal conditional stochastic dominance. Modern portfolio theory (MPT) … Wikipedia
Reward-to-volatility ratio — Ratio of excess return to portfolio standard deviation. The New York Times Financial Glossary … Financial and business terms
reward-to-volatility ratio — Ratio of excess return ( excess returns) to portfolio standard deviation. Bloomberg Financial Dictionary … Financial and business terms