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How to compare Mutual Funds? | Alpha, Beta, Standard Deviation & Sharpe Ratios |
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Comparing two mutual funds can be a tricky task. Comparing funds only based on their past performance is not a right method to compare, there are lot of other factors you should consider like AUM of funds, experience of the fund, Fund Manager, Fund house overall performance and Risk Ratios. Actually, these ratios are referred to as measures of Risk. But, they measure the volatility associated with a financial instrument. This volatility leads to Risk and correspondingly understand the return profile of the fund too.
Let’s now discuss more details about these ratios like Standard Deviation, Alpha Ratio, Beta Ratio and Sharpe Ratio and try to understand their importance when selecting the right and best mutual fund scheme. You need to give importance to both returns and measures of volatility while short listing mutual fund schemes.
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Comparing two mutual funds can be a tricky task. Comparing funds only based on their past performance is not a right method to compare, there are lot of other factors you should consider like AUM of funds, experience of the fund, Fund Manager, Fund house overall performance and Risk Ratios. Actually, these ratios are referred to as measures of Risk. But, they measure the volatility associated with a financial instrument. This volatility leads to Risk and correspondingly understand the return profile of the fund too.
Let’s now discuss more details about these ratios like Standard Deviation, Alpha Ratio, Beta Ratio and Sharpe Ratio and try to understand their importance when selecting the right and best mutual fund scheme. You need to give importance to both returns and measures of volatility while short listing mutual fund schemes.
Find us on Social Media and stay connected:
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