The Morningstar Category classifications were introduced in 1996 to help investors make meaningful comparisons between mutual funds. Morningstar found that the investment objective listed in a fund’s prospectus often did not adequately explain how the fund actually invested.
wind” effect boosting or hurting the ratings of funds that invest in specific areas of the market. For example, ... Europe Stock Latin America Stock Pacific/Asia ex-Japan Stock China Region India Equity Japan Stock Bear Market3 ... Tax-Free Money Market3 1 When a fund changes investment categories,
Appendix 1: Risk-Free Rates Applied ... Morningstar now assigns ratings based on comparisons of all ... (“stock-picking”) or to variation in
TheStreet’s 5 Top Rated Stocks uber 1 2 uber 3 ... TheStreet Quant Ratings’ proprietary stock algorithm has identified these five stocks as ... MY RISK-FREE TRIAL.
Top 10 Stock Screening Strategies That Make Money
Top 10 Stock Screening Strategies That Make Money Screens that work in both up markets and down! By: Kevin Matras Powered by: Zacks Research Wizard Program
A stock that is perfectly correlated with the market would have a beta of 1. A beta of less than 1 means the security is less volatile than the market. Conversely, a beta of more than 1 means the security is more volatile than the market. CAGR - Compound annual growth rate: CAGR is …
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