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reward-to-volatility ratio
释义
Reward-to-volatility ratio
Reward-to-volatility ratio
Ratio of excess return to portfolio standard deviation.
Reward-to-Volatility Ratio
The excess return on an investment divided by the standard deviation from its average price. This can be used to determine the risk of an investment.
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更新时间:2026/9/5 8:23:15