Examples of using Risk-adjusted returns in English and their translations into German
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while providing consistent risk-adjusted returns in all market environments, not just when markets are rallying.
There is some evidence ESG integration can also have a potentially larger impact on risk-adjusted returns in emerging markets than developed markets,
We examine if, based on the historic loan performance, we can be reasonably confident that loans originated by the respective loan originator will provide acceptable risk-adjusted returns to investors on our marketplace.
that such loans should provide adequate risk-adjusted returns to investors and generate enough of a total payoff for the loan originator to cover their expenses and profit margin.
what would happen to corporate governance when investors may have objectives other than maximizing risk-adjusted returns?
FERI Eurorating's analysis is based on risk-adjusted returns, and each fund is rated A, B, C, D,
Emerging market strategies seek to capitalize on the favorable outlook for select developing economies, targeting countries with strong fundamentals where Allianz sees potential for attractive risk-adjusted returns and diversification.
eventually domestic, will afford global investors a long-term opportunity to take advantage of some of the highest risk-adjusted returns, which collectively make the GCC bond market an exciting investment area today.
Interesting risk-adjusted returns may be on offer.
One of the best risk-adjusted returns in EM.
The Group's long-term value strategies maximize risk-adjusted returns.
Responsible investment helps us deliver better risk-adjusted returns for you in the long run.
ESG best-in-class focused funds should be able to capture superior risk-adjusted returns if well executed.
This is where the portfolio rebalancing channel effect comes into play as investors seek to maximize their risk-adjusted returns.
Primevest CP seeks to deliver attractive risk-adjusted returns for its clients, with a focus on sustainable income
These two cash flow streams provide Shoreline with additional flexibility to evaluate future opportunities which provide potential for good risk-adjusted returns.
There is some evidence ESG integration can also have a potentially larger impact on risk-adjusted returns in emerging markets than developed markets, as figures 1 and 2 highlight.
This is a well-established business and we are confident that we as investors can continue to provide both high quality infrastructure for the UK and appropriate risk-adjusted returns for investors.
regions will allow our clients' infrastructure portfolios to achieve favourable risk-adjusted returns due to the low inherent correlation between return drivers of infrastructure assets.
will also help you to earn better risk-adjusted returns.