marginaaliprosentti
Marginaaliprosentti, which translates to "marginal percentage" in English, is a financial concept originating from the fields of accounting and economics. It represents the difference between the return on investment (ROI) of a security or a portfolio and the return on a risk-free asset, typically a government bond. The term is commonly used in Finnish and European financial contexts.
The concept of marginaaliprosentti is primarily used to gauge the excess return an investment generates over
Marginaaliprosentti is often used in the context of analyzing the performance of a portfolio manager or a
In practical terms, the marginaaliprosentti is typically calculated by subtracting the return on the risk-free asset
This financial concept is fundamental to understanding investment returns and evaluating the performance of financial managers