Apartment Investment Treynor Ratio vs. Semi Variance

AIV Stock  USD 8.86  0.02  0.23%   
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Apartment Investment and has current Treynor Ratio of 0.011. The Treynor is the reward-to-volatility ratio that expresses the excess return to the beta of the equity or portfolio. It is similar to the Sharpe ratio, but instead of using volatility in the denominator, it uses the beta of equity or portfolio. Therefore, the Treynor Ratio is calculated as [(Portfolio return - Risk-free return)/Beta].

Treynor Ratio

 = 

ER[a] - RFR

BETA

 = 
0.011
ER[a] = Expected return on investing in Apartment Investment
BETA = Beta coefficient between Apartment Investment and the market
RFR = Risk Free Rate of return. Typically T-Bill Rate

Apartment Investment Treynor Ratio Peers Comparison

Apartment Treynor Ratio Relative To Other Indicators

Apartment Investment and is rated third in treynor ratio category among its peers. It is currently under evaluation in semi variance category among its peers fabricating about  147.48  of Semi Variance per Treynor Ratio. The ratio of Semi Variance to Treynor Ratio for Apartment Investment and is roughly  147.48 
This ratio was developed by Jack Treynor to measure how well an investment has compensated its investors given its level of risk. The Treynor ratio relies on beta, which measures an investment sensitivity to market movements, to gauge risk. The premise underlying the Treynor ratio is that systematic risk--the kind of risk that is inherent to the entire market (represented by beta)--should be penalized because it cannot be diversified away.
Compare Apartment Investment to Peers

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