markedssamsvar
Markedssamsvar refers to the degree to which a financial instrument's price behavior aligns with its underlying market's behavior. It is a measure of how closely a fund, index, or other investment vehicle tracks its benchmark or reference index. A high markedssamsvar indicates that the investment's returns are highly correlated with the benchmark's returns, suggesting it effectively replicates the performance of the underlying market. Conversely, a low markedssamsvar implies that the investment's performance deviates significantly from the benchmark.
This concept is particularly relevant for index funds and exchange-traded funds (ETFs), which aim to mirror
Investors often use markedssamsvar as a key metric when evaluating passive investment strategies. A high markedssamsvar