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portfolio return

См. также в других словарях:

  • Portfolio Return — The monetary return experienced by a holder of a portfolio. Portfolio returns can be calculated on a daily or long term basis to serve as a method of assessing a particular investment strategy. Dividends and capital appreciation are the main… …   Investment dictionary

  • 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

  • Return on equity — (ROE) measures the rate of return on the ownership interest (shareholders equity) of the common stock owners. It measures a firm s efficiency at generating profits from every unit of shareholders equity (also known as net assets or assets minus… …   Wikipedia

  • 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

  • Portfolio.com — For the defunct art magazine, see: Portfolio, The Magazine of the Visual Arts Portfolio.com URL http://www.portfolio.com Type of site business news Available language(s) English Owner American City Business Jou …   Wikipedia

  • Return — The change in the value of a portfolio over an evaluation period, including any distributions made from the portfolio during that period. The New York Times Financial Glossary * * * ▪ I. return re‧turn 1 [rɪˈtɜːn ǁ ɜːrn] verb 1. [transitive]… …   Financial and business terms

  • return — The change in the value of a portfolio over an evaluation period, including any distributions made from the portfolio during that period. Bloomberg Financial Dictionary The annual return on an investment expressed as a percentage of the total… …   Financial and business terms

  • portfolio theory — A branch of financial economics associated with Harry M. Markowitz (born 1927) that analyzes the *diversification of *risk through the holding of a *portfolio of investments. A major assumption underlying portfolio theory is that investors are… …   Auditor's dictionary

  • Portfolio Management — The art and science of making decisions about investment mix and policy, matching investments to objectives, asset allocation for individuals and institutions, and balancing risk against performance. Portfolio management is all about strengths,… …   Investment dictionary

  • portfolio beta — Used in the context of general equities. The beta of a portfolio is the weighted sum of the individual asset betas, According to the proportions of the investments in the portfolio. E.g., if 50% of the money is in stock A with a beta of 2.00, and …   Financial and business terms

  • portfolio manager — Used in the context of general equities. Professional responsible for the securities portfolio of an individual or institutional investor ( institutional investors), such as a mutual fund, pension fund, profit sharing plan, bank trust department …   Financial and business terms

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