Discover how probability distribution methods can help predict stock market returns and improve investment decisions. Learn ...
Average Annual Total Return in relation to NAV represents the compound average of the Annual NAV Total Returns of the Fund for the five year period ended November 30, 2025. Annual NAV Total Return is ...
Citations: Andersen, Torben Gustav, Tim Bollerslev, Francis Diebold, Heiko Ebens. 2001. The Distribution of Realized Stock Return Volatility. Journal of Financial Economics. (1)43-76.
Energy Transfer's lucrative distribution has added to its total return. The MLP has significantly improved its financial profile over the last five years. It has also delivered robust earnings growth, ...