But it's not quite true, because typically what they actually do that, is they say it's adjusted for risk.
但是这是不对的,因为它们实际上就是存在这种情况,它们会根据风险进行调整。
Or are you going to manage each individual asset class actively, trying to beat the market and generate risk-adjusted excess returns?
还是积极管理每项资产,力求获得市场水平以上的回报率,以及风险调整后的超额收益
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