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Deutsche X-trackers 2030 Target Date (TDN)

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Risk as of Sep 29, 2014Get Risk for:
Risk (Modern Portfolio Theory) Statistics 
3 Years
StatisticTDNCategory
Alpha (against Standard Index)1.53N/A
Beta (against Standard Index)1.20N/A
Mean Annual Return1.29N/A
R-squared (against Standard Index)96.66N/A
Standard Deviation8.86N/A
Sharpe Ratio1.74N/A
5 Years
StatisticTDNCategory
Alpha (against Standard Index)0.06N/A
Beta (against Standard Index)1.26N/A
Mean Annual Return0.97N/A
R-squared (against Standard Index)96.85N/A
Standard Deviation10.99N/A
Sharpe Ratio1.05N/A
10 Years
StatisticTDNCategory
Alpha (against Standard Index)NaNN/A
Beta (against Standard Index)NaNN/A
Mean Annual ReturnNaNN/A
R-squared (against Standard Index)NaNN/A
Standard DeviationN/AN/A
Sharpe RatioN/AN/A
Treynor RatioNaNN/A