शार्प अनुपात क्या है?
शार्प अनुपात A risk-adjusted performance measure calculated as the excess return of a portfolio over the risk-free rate, divided by the standard deviation of portfolio returns. Used widely in performance attribution and fund selection.
Source: CFA Institute, IFRS Foundation, FASB (GAAP), Basel III Framework
How is “शार्प अनुपात” Used in Practice?
उच्च शार्प अनुपात बेहतर जोखिम-समायोजित प्रतिफल दर्शाता है, और म्यूचुअल फंड तुलना तथा निवेश विश्लेषण में पसंदीदा है।
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Who Needs to Know This Term?
- Financial Analysts
- Bankers
- Traders
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शार्प अनुपात क्या है?
A risk-adjusted performance measure calculated as the excess return of a portfolio over the risk-free rate, divided by the standard deviation of portfolio returns. Used widely in performance attribution and fund selection.
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