What's the best indicator of mutual fund volatility and risk?
Answers:
Standard deviation is the usual determine of risk. Higher is riskier, lower is smaller number risky. Every mutual fund website will register the standard deviation for respectively fund. But kind unmistaken they're measure it duplicate track so you're comparing apples to apples. For example, are they figure the annual standard deviation of day after day returns? Over what length?
the feed dumping billions into market that are still cave within!
You'll hold to look at the prospectus and examine their investing style.
If you hold access to Morningstar reports, you can check out the Morningstyle box (also most funds prospectus have this on there). Things the box is a 3x3 box, departed column anyone growth, right column man helpfulness. Top row is immense panama stocks, while bottom column is small sou`wester stocks. Funds surrounded by the bottom gone are markedly volitile, while funds surrounded by the top right are awfully stable. At a fast peep, this is the best indicator I can suggest of.