It is advised that while looking throu' fund's performence, one should not only concentrate on annualised returns. Funds risk exposure is also important factor- whether it tumbles sharply in case of correction.
Please somebody explain what is sharpe's ratio? alpha & beta? How these indices are interprated. Should these be taken into account while investing in a Fund?
Please somebody explain what is sharpe's ratio? alpha & beta? How these indices are interprated. Should these be taken into account while investing in a Fund?