BBVA Telecomunicacion Jensen Alpha

0P000011YA  EUR 30.20  0.06  0.20%   
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BBVA Telecomunicaciones PP has current Jensen Alpha of 0.1872. Jensen alpha is a measure of the returns that are attributable to the managers' ability to select security and time the market. In other words, it is the returns remaining after deducting what would have been attributable to beta returns (which do not require skill) and the risk-freerate.

Jensen Alpha

 = 

ER[a] - RFR * (1-BETA)

-

BETA * ER[b])

 = 
0.1872
ER[a] = Expected return on investing in BBVA Telecomunicacion
ER[b] = Expected return on market index or selected benchmark
BETA = Beta coefficient between BBVA Telecomunicacion and the market
RFR = Risk Free Rate of return. Typically T-Bill Rate

BBVA Telecomunicacion Jensen Alpha Peers Comparison

BBVA Jensen Alpha Relative To Other Indicators

BBVA Telecomunicaciones PP is second largest fund in jensen alpha among similar funds. It is second largest fund in maximum drawdown among similar funds reporting about  30.89  of Maximum Drawdown per Jensen Alpha. The ratio of Maximum Drawdown to Jensen Alpha for BBVA Telecomunicaciones PP is roughly  30.89 
Jensen alpha is the difference between the return of the portfolio, and what the portfolio should theoretically have earned. Any portfolio can be expected to earn the risk-free rate (RF), plus the market risk premium (which is given by [Beta x (Market Portfolio Return - Risk-Free Rate)]. Anything remaining over and above is alpha.
Compare BBVA Telecomunicacion to Peers

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