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Treynor Index

「Treynor Index」文章包含有:「衡量績效的指標:夏普指標、詹森指標、崔納指標」、「崔納指標」、「特雷諾指數」、「TreynorIndex:WhatitMeans」、「什麼是風險?談RiskMetrics(Beta、Treynorratio)」、「TreynorRatio:WhatItIs」、「Treynorratio」、「Page253」、「TreynorRatio-Definition」、「23.在投資組合績效評估中,崔納指標(TreynorIndex)的計算...」

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Information ratio崔納指標公式jensen's alpha公式jensen's alpha中文
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衡量績效的指標:夏普指標、詹森指標、崔納指標
衡量績效的指標:夏普指標、詹森指標、崔納指標

https://pgfinnote.com

崔納指標(Treynor Index)是什麼? 崔納指數是指,承擔每一單位的「系統風險」,可以獲得多少單位的風險溢酬。

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崔納指標
崔納指標

https://www.fund.gov.tw

英文詞彙. Treynor Index · 係指衡量投資績效的指標之一,可作為選擇投資標的的參考,崔納指標愈大,表示該投資標的績效愈佳;反之,則愈差。 · 相關詞彙.

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特雷諾指數
特雷諾指數

https://wiki.mbalib.com

特雷諾指數(Treynor):特雷諾指數是以基金收益的系統風險作為基金績效調整的因數,反映基金承擔單位系統風險所獲得的超額收益。指數值越大,承擔單位系統風險所獲得 ...

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Treynor Index: What it Means
Treynor Index: What it Means

https://www.investopedia.com

The Treynor Index measures the risk-adjusted performance of an investment portfolio by analyzing a portfolio's excess return per unit of risk.

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什麼是風險?談Risk Metrics(Beta、Treynor ratio)
什麼是風險?談Risk Metrics(Beta、Treynor ratio)

https://greenhornfinancefootno

在比較的時候,Treynor ratio愈高愈好。 Treynor ratio有個缺點。因為它風險評量的部位是採用Beta值,而Beta值代表的是系統性風險(或說是市場風險)。假如 ...

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Treynor Ratio: What It Is
Treynor Ratio: What It Is

https://www.investopedia.com

The Treynor ratio, also known as the reward-to-volatility ratio, is a performance metric for determining how much excess return was generated for each unit ...

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Treynor ratio
Treynor ratio

https://en.wikipedia.org

The Treynor ratio relates excess return over the risk-free rate to the additional risk taken; however, systematic risk is used instead of total risk. The higher ...

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Page 253
Page 253

https://ifinbook.tabf.org.tw

夏普指標夏普指標(Sharpe Index) 是由夏普(Sharpe) 在1966 年所推出的基金 ... 崔納指標崔納指標(Treynor Index) 是由崔納(Treynor) 所推出的基金績效. 248 249 ...

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Treynor Ratio - Definition
Treynor Ratio - Definition

https://corporatefinanceinstit

The Treynor Ratio is a portfolio performance measure that adjusts for systematic - undiversifiable - risk. In contrast to the Sharpe Ratio, which adjusts ...

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23.在投資組合績效評估中,崔納指標(Treynor Index)的計算 ...
23.在投資組合績效評估中,崔納指標(Treynor Index)的計算 ...

https://yamol.tw

在投資組合績效評估中,崔納指標(Treynor Index)的計算方式為: (A)超額報酬/非系統風險 (B)超額報酬/總風險 (C)超額報酬/系統風險 (D)超額報酬/無風險利率.