(尤用于金融与投资)风险调整后的:在比较收益、绩效或回报时,把承担的风险因素一并纳入考虑后的结果或指标。常见于“risk-adjusted return(风险调整后收益)”“risk-adjusted performance(风险调整后绩效)”。
/ˌrɪsk əˈdʒʌstɪd/
A risk-adjusted return is more meaningful than a raw return.
风险调整后收益比单纯的收益率更有意义。
The fund looked strong last year, but its risk-adjusted performance was weaker once volatility and drawdowns were taken into account.
这只基金去年看起来表现很强,但把波动率和回撤纳入考虑后,它的风险调整后绩效其实更弱。
risk-adjusted 由 risk(风险) + adjusted(已调整的) 组合而成,属于金融语境中常见的复合形容词。其核心含义是“不是只看结果(收益),而是把达到该结果所付出的风险成本一起衡量”,与现代投资组合理论、绩效评估指标(如夏普比率等)的发展密切相关。