VETIVA S Total Risk Alpha

VSPBONDETF   183.00  32.07  14.91%   
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VETIVA S P has current Total Risk Alpha of 1.61. The total risk alpha measures the performance of an asset by comparing its returns with those of a selected benchmark portfolio.

Total Risk Alpha

 = 

RFR + (ER[b] - ER[a])

x

STD[a] / STD[b]

 = 
1.61
ER[a] = Expected return on investing in VETIVA S
ER[b] = Expected return on market index or selected benchmark
STD[a] =   Standard Deviation of returns on VETIVA S
STD[b] = Standard Deviation of selected market or benchmark
RFR = Risk Free Rate of return. Typically T-Bill Rate

VETIVA S Total Risk Alpha Peers Comparison

VETIVA Total Risk Alpha Relative To Other Indicators

VETIVA S P is rated second in total risk alpha category among its peers. It is rated first in maximum drawdown category among its peers reporting about  961.90  of Maximum Drawdown per Total Risk Alpha. The ratio of Maximum Drawdown to Total Risk Alpha for VETIVA S P is roughly  961.90 
The benchmark portfolio represents the market risk matched to the total risk of the stock ETF or fund.
Compare VETIVA S to Peers

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