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S&P 500   1,667   17.00  Index Moved Up 1.03%
PBR-A CVE RIG ESV Recreation Railroads Alcohol Apparel 
United States  USA  |  Investing Themes


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In the context of Modern Portfolio Theory, risk-return relation is the theoretical association between the return expected from investment and the amount of risk assumed in that investment. The more return investor expects from the market, the more risk must be undertaken to achieve that return.

What is risk-adjusted return and how do I measure it in today's market?

Before comparing or considering investments, it is better to perform a risk-adjusted return calculation that will adjust the returns according to how risky the investments are. The riskier they are, the more the returns are lowered before any comparison. Technically risk refers to mean volatility, which measures how returns vary over a given period of time. An investment or a portfolio that grows steadily has low risk, and another investment with a value that jumps up and down unpredictably has high risk.

To create risk and return landscape specify valid comma-separated symbols and hit Analyze Watchlist button.

Please note, the New York Stock Exchange (NYSE) and American Stock Exchange (AMEX) have recently merged. Although Macroaxis has implemented solutions to handle this transition gracefully, you may still find some securities that may not be fully transferred from one exchange to another.
 

Risk Adjusted Returns Analysis

    
 
Investment horizon: 
  30 Days    Login   to change
 Make sure to specify reasonable number of assets as computing power is limited.
  
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Market   Saving Account   Hypothetical Portfolio   Selected Assets Compare Fundamentals Check Correlations Backtest
Daily Expected Return (%)
 
Risk [Daily Volatility] (%)
Hypothetical Portfolio
Value At Risk    39.03 
Total Risk   0.84 
Expected Return   0.39 
Sharpe Ratio   0.45 
This is one of many hypothetical portfolios that can be assembled out of specified equities. Although the risk of this portfolio is minimized due to position correlations with each other, this portfolio is not optimal. Calculations are based on your current investment horizon and default level of risk. Use Portfolio Analizer to fine-tune all your assumptions. Check your current assumptions here. You can easily create optimal portfolio using our suggestion or optimization modules.
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* Hover bars for details
Amount  Current Allocation
United States CXO    1,664    16.79  %
 
United States MWE    1,348    13.61  %
 
United States DO    1,448    14.61  %
 
United States RIG    1,081    10.91  %
 
United States ESV    1,243    12.55  %
 
United States PBR-A    391.40    3.95  %
 
United States LNG    612    6.18  %
 
United States HP    1,308    13.20  %
 
United States NE    813    8.21  %
 

Total Dividend Income from 04/20/2013 to 05/20/2013 0.00
Current Market Value 9,908 
Value At Risk 39.03 
 9,869 
Minor numerical discrepancies may occur due to the rounding error.
All rounding is performed to 2 decimal points.

Assets rated by market efficiency

Efficiency (Sharpe Ratio)Risk (Volatility)Expected ReturnCurrent PriceAdvice *
Ensco plcPrice Moved Up 0.66%   Price Moved Very Down 1.07%   Price Moved Up 0.71%    62.15   
Transocean LtdPrice Moved Up 0.51%   Price Moved Down 0.98%   Price Moved Up 0.51%    54.03   
Diamond Offshore Drilling IncPrice Moved Up 0.42%   Price Moved Very Down 1.02%   Price Moved Up 0.44%    72.40   
Noble CorpPrice Moved Up 0.42%   Price Moved Very Down 1.25%   Price Moved Up 0.53%    40.66   
Helmerich Payne IncPrice Moved Up 0.34%   Price Moved Very Down 1.59%   Price Moved Up 0.55%    65.39   
MarkWest Energy Partners LPPrice Moved Up 0.27%   Price Moved Very Down 1.72%   Price Moved Up 0.47%    67.40   
PetrPrice Moved Up 0.15%   Price Moved Very Down 1.88%   Price Moved Up 0.29%    19.57   
Cheniere Energy IncPrice Moved Up 0.11%   Price Moved Down 0.72%   Price Moved Up 0.09%    30.60   
Concho Resources IncPrice Moved Down 0.06%   Price Moved Very Down 1.94%   Price Moved Down 0.10%    83.20   
* Advice is based on 30 days investment horizon and default level of risk. Use Portfolio Analizer to fine-tune all your assumptions. Check your current assumptions here

Total return distribution analysis

Predicted Return Density
 
Returns   
Market   Portfolio   
α
  Alpha (Return Over Market) 0.14  
β
  Beta (Market Sensitivity) 0.76  
s
  Efficiency (Sharpe Ratio) 0.45  
σ
  Risk (Volatility) 0.84  
μ
  Expected Return 0.39  

Technical analysis of total daily returns

Risk Adjusted Performance0.2704
Market Risk Adjusted Performance0.4547
Mean Deviation0.596
Downside Deviation0.5376
Coefficient Of Variation209.37
Standard Deviation0.7286
Variance0.5309
Information Ratio0.0287
Jensen Alpha0.097
Total Risk Alpha(0.07)
Sortino Ratio0.0388
Treynor Ratio0.4447
Maximum Drawdown2.48
Value At Risk(0.69)
Potential Upside1.44

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