After tax real rate of return

Annualized holding period return

Arithmetic average mean rate of return

Arithmetic mean return

Average accounting return

Average rate of return

Cumulative abnormal return

Dollar return

Dollar weighted rate of return

Ex post return

Exante return

Excess return on the market portfolio

Expected excess return

Expected future return

Expected return

Expected return beta relationship

Expected return on investment

Expected value of a return

Holding period return

Horizon return

Implied return

Incremental internal rate of return

Internal rate of return

Internal rate of return approach

Internal rate of return irr

Leveraged required return

Market return

Market risk return function

Mean

Mean of the sample

Mean reversion

Mean variance analysis

Mean variance criterion

Mean variance efficient portfolio

Money rate of return

Multiple rates of return

Portfolio internal rate of return

Potential total return

Promised return

Rate of return

Rate of return ratios

Real rate of return

Real return bonds

Realized return

Regression toward the mean

Required return

Return

Return on assets

Return on equity

Return on investment

Return on total assets

Return to maturity expectations

Risk adjusted return

Risk return tradeoff

Safety net return

Subperiod return

T period holding period return

Time weighted rate of return

Total dollar return

Total rate of return

Unleveraged required return

Annualized holding period return

Arithmetic average mean rate of return

Arithmetic mean return

Average accounting return

Average rate of return

Cumulative abnormal return

Dollar return

Dollar weighted rate of return

Ex post return

Exante return

Excess return on the market portfolio

Expected excess return

Expected future return

Expected return

Expected return beta relationship

Expected return on investment

Expected value of a return

Holding period return

Horizon return

Implied return

Incremental internal rate of return

Internal rate of return

Internal rate of return approach

Internal rate of return irr

Leveraged required return

Market return

Market risk return function

Mean

Mean of the sample

Mean reversion

Mean variance analysis

Mean variance criterion

Mean variance efficient portfolio

Money rate of return

Multiple rates of return

Portfolio internal rate of return

Potential total return

Promised return

Rate of return

Rate of return ratios

Real rate of return

Real return bonds

Realized return

Regression toward the mean

Required return

Return

Return on assets

Return on equity

Return on investment

Return on total assets

Return to maturity expectations

Risk adjusted return

Risk return tradeoff

Safety net return

Subperiod return

T period holding period return

Time weighted rate of return

Total dollar return

Total rate of return

Unleveraged required return