ikinci sırada olan şey

listen to the pronunciation of ikinci sırada olan şey
Türkçe - İngilizce
beta
To proofread a text, especially fan fiction

I had the honor of betaing this story and as I was doing the first read through I had the odd, but lovely, experience when a story suspends the reader in its own rhythm and flow, its own reality.

The phase of development after alpha testing and before launch, in which software, while not complete, has been released to potential users for testing
Average sensitivity of a security's price to overall securities market prices
etymology of Alphabet
Analyzes the market risk of a fund by showing how responsive the fund is to the market The beta of the market is 1 00 Accordingly, a fund with a 1 10 beta is expected to perform 10% better than the market in up markets and 10% worse in down markets Usually the higher betas represent riskier investments
Ratio of a stocks volatility to overall market volatility. So for instance a beta of 0.5 means the stock moves 4% when the market moves 8%
A measure of risk commonly used to compare the volatility of mutual funds or stocks to the overall market The S&P 500 Index is the base for calculating beta and carries a value of 1 Securities with betas below 1 are less risky than the market as a whole Betas above 1 are more risky A beta of 1 3 is 30% more volatile than the S&P 500 Betas with negative values are inversely related to the S&P 500
Used in marking scheme: α, β, γ or α+, α, α-, β etc
A statistical measure that shows a fund's volatility relative to the benchmark index over the last 36 months By definition, the beta of the S & P 500 is 1 0 A fund with a beta of 1 10 tends to perform 10% better than the market in up markets and 10% worse in down markets Usually, higher betas represent riskier investments For funds that are not broadly diversified, a low beta may only indicate that the fund's volatility relative to the market is low, not that the fund has low risk
Proofread a text, especially fanfiction
A measure of an investment's volatility relative to a chosen benchmark For stocks or stock funds, the benchmark is usually the S&P 500 For bonds or bond funds, it is Treasury bills The beta of the benchmark is always 1 00 So a stock fund with a beta of 1 00 has experienced up and down movements of roughly the same magnitude as the S&P 500 Meanwhile, a fund with a beta of 1 25 is expected to do 25% better than the S&P in an up market and 25% worse in a down market Generally speaking, the higher the beta, the more risky the investment But without a high R-squared, a beta statistic can be meaningless R-squared determines how much an investment's return is correlated to its benchmark Also, see alpha BACK TO TOP
To preliminarily release computer software for initial testing prior to final release
Indicates the return volatility of the fund's holdings relative to the general stock market over the past 5 years A beta of greater than 1 indicates higher return volatility than the market, while a beta of less than 1 indicates lower return volatility than the market
A measure of how a stock's movement correlates to the movement of the entire stock market The Beta is not the same as volatility See also Standard Deviation and Volatility
The beta coefficient is a means of measuring the volatility of a stock or stock portfolio in comparison with the market as a whole A beta of 1 0 indicates that the price of the stock portfolio will move with the market A beta higher than 1 0 indicates that the price movement will be more volatile than the market A beta of less than 1 0 indicates that the price movement will be less volatile than the market
Preliminary, prerelease; refers to an incomplete version of a product released for initial testing
preliminary or testing stage of a software or hardware product; "a beta version"; "beta software"
A statistical measure of the systemic risk of a particular share (e g CBA) It reflects the historical movement in the stock's share price viz a viz that of a broad market indicator, such as the S&P/All Ordinaries index For example, a smaller company with a beta of 1 3 indicates that it is expected to perform 30% better than the market when it rises, and 30% worse when it falls
A beta particle or beta ray
Measurement of the historical volatility of a stock, portfolio or mutual fund relative to the general market as measured by the S&P 500 stock index A beta value greater than 1 0 represents greater volatility than the general market; less than 1 0 represents less volatility than the general market
ikinci sırada olan şey