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Information ratio – Wikipedia – It is defined as expected active return divided by tracking error, Sometimes intuition can give a good clue about the information ratio and residual risk aversion.
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Tracking Error Dynamics – Residual or Planned? – McKinley Capital. – Aug 29, 2014. The perception is that tracking error (standard deviation of Alpha) is a measure of Alpha risk. It is assumed that more return can only be earned.
Home > tracking error > residual risk tracking error Residual Risk Tracking Error. and residual return/risk Discussion in 'P1.T1. Foundations of Risk (20%)' started.
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Active risk and residual risk are two different types of portfolio risks. This risk is also commonly called tracking error. Measuring active risk quantifies the risk that that portfolio or investment experiences due to active management.
The most crowded residual (idiosyncratic. USSB Aggregate has approximately 1% estimated future volatility (tracking error) relative to the Market. Over 80% of this relative risk is due to factor exposures, or factor crowding. This high.
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significantly higher than the estimated tracking error given by a risk model. We show that a more. target tracking error by risk models, even after appropriately. We next calculate the residual variance or equiva- lently the risk-model tracking.
Finally, we consider risk decomposition and attribution for portfolio with assets in different. 's are the marginal relative risks for the tracking error and satisfy equation. Interaction risk the residual risk, if present, coming from the interaction of.
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Why is the term "residual risk" used in the meaning of "tracking error" in http://www.garp.org/media/613028/frm%20practice%20exam052711.pdf , problem 9, on page 22?