Risk parameters for analysis of Mutual Funds | Training on 17th January 2025 | Webinar Series
Вставка
- Опубліковано 10 лют 2025
- A recording of NGEN Markets Training with a focus on:
Topic: Risk parameters for analysis of Mutual Funds
Value at Risk (VaR) & Capture ratios
Risk vs Return scatter plot
Understanding drawdown & recovery analysis
Rolling returns analysis