Risk adjusted return

• Return earned on an asset normalized for the amount of risk associated with that asset.


Follow this link for all the terms related to returnrisk.

 Embedded terms in definition
 Related Terms
Adjusted basis
Adjusted gross income
Adjusted present value
Affiliate risk
After tax real rate of return
Annualized holding period return
Arithmetic average mean rate of return
Arithmetic mean return
Average accounting return
Average rate of return
Bankruptcy risk
Basis risk
Business and industry risk
Business risk
Call risk
Commercial risk
Company specific risk
Completion risk
Counterparty risk
Country economic risk
Country financial risk
Country risk
Country risk analysis models
Credit risk
Cross border risk
Cumulative abnormal return
Currency risk
Currency risk sharing
Default risk
Diversifiable risk
Dollar return
Dollar weighted rate of return
Economic risk
Equilibrium market price of risk
Event risk
Ex post return
Exante return
Excess return on the market portfolio
Exchange rate risk
Exchange rate risk capital budgeting
Exchange risk
Expected excess return
Expected future return
Expected return
Expected return beta relationship
Expected return on investment
Expected value of a return
Fallout risk
Financial risk
Firm specific risk
Flat price risk
Force majeure risk
Forecasting risk
Foreign exchange fx risk
Foreign exchange risk
Funding risk
Geographic risk
Geometric mean return
Herstatt risk
Holding period return
Horizon return
Idiosyncratic risk
Implied return
Incremental internal rate of return
Inflation risk
Insolvency risk
Interest rate risk
Interest rate risk management
Internal rate of return
Internal rate of return approach
Internal rate of return irr
Leveraged required return
Liquidity risk
Macro political risk
Market price of risk
Market return
Market risk
Market risk return function
Micro political risk
Money rate of return
Mortality risk
Mortgage pipeline risk
Multiple rates of return
Net adjusted present value
Nondiversifiable risk
Nonsystematic risk
Operating risk
Operational risk
Option adjusted duration
Option adjusted spread
Option adjusted spread model
Overnight delivery risk
Pin risk
Political risk
Portfolio internal rate of return
Potential total return
Prepayment risk
Price risk
Product risk
Promised return
Purchasing power risk
Rate of return
Rate of return ratios
Rate risk
Real rate of return
Real return bonds
Realized return
Regulatory pricing risk
Reinvestment risk
Required return
Residual risk
Return on assets
Return on equity
Return on investment
Return on total assets
Return to maturity expectations
Reverse price risk
Risk adjusted discount rate
Risk adjusted profitability
Risk arbitrage
Risk arrays
Risk averse
Risk capital budgeting
Risk classes
Risk controlled arbitrage
Risk free asset
Risk free rate
Risk indexes
Risk indifferent
Risk lover
Risk management
Risk management document
Risk neutral
Risk of technical insolvency
Risk premium
Risk premium approach
Risk prone
Risk return tradeoff
Risk reversal
Risk seeking
Risk transformation
Risk types
Riskless or risk free asset
Safety net return
Settlement risk
Shortfall risk
Sovereign risk
Specific risk
Subperiod return
Systematic risk
Systematic risk principle
T period holding period return
Theta risk
Time weighted rate of return
Total dollar return
Total rate of return
Total risk
Undiversifiable risk
Unique risk
Unleveraged required return
Unsystematic risk
Value at risk
Value at risk model
Vega risk
Volatility risk

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