A liquidity and solvency ratio that measures a company's ability to generate cash from its operations to cover its liabilities....
A long-term solvency ratio which measures a company's ability to meet its obligations over the long run. In other words,...
A financial tool that relates earnings per share (EPS) to the market value per ordinary share: Earnings capitalization ratio =...
It stands for beta and volatility adjusted return; BAVAR ratio is a risk-return measure that is derived from the Sharpe...
A measure of risk-adjusted return that is designed to apply the maximum drawdown as a measure of risk. This ratio...
A risk-adjusted return measure that quantifies the return generated by a hedge fund for each unit of risk it takes....
A comparative measure that relates one or more financial statement item(s) to one or more financial statement item(s). A financial...
A risk-adjusted return measure that quantifies the return generated by a hedge fund for each unit of risk it takes....
Another name for distributed value to paid-in ratio (DVPI); a return multiple that is used to assess the investment performance...
An acronym for residual value to paid-in ratio; a return multiple that measures the net asset value (NAV) of a...