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risk-adjusted performance measurement

См. также в других словарях:

  • Performance measurement — with a process is the complement to process execution. Based on measured performance, the feedback control loop may be closed. The metrics to assess performance is set according to a determined econometric model. The expected best result is… …   Wikipedia

  • Risk adjusted return on capital — (RAROC) is a risk based profitability measurement framework for analysing risk adjusted financial performance and providing a consistent view of profitability across businesses. The concept was developed by Bankers Trust in the late 1970s. Note,… …   Wikipedia

  • Performance (Risikomanagement) — In der Betriebswirtschaft ist unter der Performance ein Maß der Zielerreichung zu verstehen. Inhaltsverzeichnis 1 Allgemeine Definition 2 Definition in der Finanzwirtschaft 2.1 Outperformer 2.2 Underperformer …   Deutsch Wikipedia

  • Managerial risk accounting — is concerned with the generation, dissemination and use of risk related accounting information to managers within organisations to enable them to judge and shape the risk situation of the organisation according to the objectives of the… …   Wikipedia

  • Enterprise risk management — In business, enterprise risk management (ERM) includes the methods and processes used by organizations to manage risks and seize opportunities related to the achievement of their objectives. ERM provides a framework for risk management, which… …   Wikipedia

  • Investment management — is the professional management of various securities (shares, bonds etc.) and assets (e.g., real estate), to meet specified investment goals for the benefit of the investors. Investors may be institutions (insurance companies, pension funds,… …   Wikipedia

  • Minimum capital requirement — Academics, practitioners, and regulators all recognise and agree that capital is required for banks to operate smoothly because capital provides protection. The critical question is how much, and what the type of capital a bank needs to hold so… …   Wikipedia

  • Sharpe ratio — The Sharpe ratio or Sharpe index or Sharpe measure or reward to variability ratio is a measure of the excess return (or risk premium) per unit of deviation in an investment asset or a trading strategy, typically referred to as risk (and is a… …   Wikipedia

  • Hedge fund — A hedge fund is a private investment fund open to a limited range of investors which is permitted by regulators to undertake a wider range of activities than other investment funds and which pays a performance fee to its investment manager.… …   Wikipedia

  • Sharpe Ratio — A ratio developed by Nobel laureate William F. Sharpe to measure risk adjusted performance. The Sharpe ratio is calculated by subtracting the risk free rate such as that of the 10 year U.S. Treasury bond from the rate of return for a portfolio… …   Investment dictionary

  • Alpha — may refer to:The Greek letter alphaAlpha (letter), a letter in the Greek alphabet. α may be used as the symbol for: *Alpha channel, describing transparency and opacity in computer graphics *Angle of attack in aerodynamics *Common base current… …   Wikipedia

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