Active portfolio strategy

Add on rate

Adjustable rate mortgage

Adjustable rate or floating rate preferred share arps

Adjustable rate preferred stock

After tax real rate of return

All current rate method

All equity rate

Amortizing interest rate swap

Annual percentage rate

Annualized holding period return

Annuity rate

Arithmetic average mean rate of return

Arithmetic mean return

Auction rate preferred stock

Average accounting return

Average rate of return

Average tax rate

Back discount rate

Balanced portfolio

Bank rate

Base interest rate

Base rate

Benchmark interest rate

Break even payment rate

Break even tax rate

Broker loan rate

Call money rate

Capitalization rate

Ccpc rate reduction

Complete portfolio

Compound annual growth rate

Coupon rate

Crediting rate

Cross over rate

Crossover rate

Cumulative abnormal return

Current rate method

Dedicating a portfolio

Discount rate

Dividend rate

Dollar return

Dollar weighted rate of return

Effective annual interest rate

Effective interest rate international context

Effective rate

Effective true annual rate

Efficient portfolio

Equilibrium rate of interest

Ex post return

Exante return

Excess return on the market portfolio

Exchange rate

Exchange rate mechanism

Exchange rate risk

Exchange rate risk capital budgeting

Expected excess return

Expected future return

Expected return

Expected return beta relationship

Expected return on investment

Expected value of a return

Factor portfolio

Feasible portfolio

Federal funds rate

Fixed exchange rate

Fixed rate loan

Fixed rate payer

Floating exchange rate

Floating rate

Floating rate bonds

Floating rate contract

Floating rate loan

Floating rate note

Floating rate payer

Floating rate preferred

Floating rate preferreds

Floor rate

Foreign exchange rate

Forward exchange rate

Forward interest rate

Forward rate

Forward rate agreement

Geometric mean return

Growth rate

Hedged portfolio

Historical exchange rate

Holding period return

Horizon return

Hurdle rate

Implied repo rate

Implied return

Incremental internal rate of return

Interest rate

Interest rate agreement

Interest rate buydowns

Interest rate cap

Interest rate ceiling

Interest rate exposure

Interest rate floor

Interest rate on debt

Interest rate parity theorem

Interest rate risk

Interest rate risk management

Interest rate swap

Internal finance

Internal forecast

Internal growth rate

Internal market

Internal measure

Internal rate of return

Internal rate of return approach

Internal rate of return irr

Inverse floating rate note

Lease rate

Leveraged portfolio

Leveraged required return

London interbank offered rate libor

Marginal tax rate

Market capitalization rate

Market portfolio

Market return

Market risk return function

Markowitz efficient portfolio

Mean variance efficient portfolio

Minimum variance portfolio

Modern portfolio theory

Money rate of return

Mortgage rate

Multiple rates of return

Nominal annual rate

Nominal exchange rate

Nominal interest rate

Nominal interest rate international context

Nominal rate of interest

Normal portfolio

Optimal portfolio

Outright rate

Overnight rate

Pass through coupon rate

Pass through rate

Passive portfolio

Passive portfolio strategy

Pibor paris interbank offer rate

Plowback rate

Portfolio

Portfolio analysis

Portfolio insurance

Portfolio management

Portfolio manager

Portfolio opportunity set

Portfolio separation theorem

Portfolio theory

Portfolio turnover rate

Portfolio variance

Potential total return

Prime rate

Promised return

Rate anticipation swaps

Rate lock

Rate of interest

Rate of return

Rate of return ratios

Rate risk

Rate sensitive assets

Rate sensitive liabilities

Real interest rate

Real rate of interest

Real rate of return

Real return bonds

Realized return

Reference rate

Reinvestment rate

Replicating portfolio

Required return

Retention rate

Return

Return on assets

Return on equity

Return on investment

Return on total assets

Return to maturity expectations

Risk adjusted discount rate

Risk adjusted return

Risk free rate

Risk return tradeoff

Riskless rate

Safety net return

Settlement rate

Split rate tax system

Spot exchange rate

Spot interest rate

Spot rate

Spot rate curve

Stated annual interest rate

Stopping curve refunding rate

Structured portfolio strategy

Subperiod return

Sustainable growth rate

Swap interest rate

Swap rate

T period holding period return

Theoretical spot rate curve

Tilted portfolio

Time weighted rate of return

Total dollar return

Total rate of return

Unemployment rate

Unisex annuity rate

Unleveraged required return

Variable rate cds

Variable rate loan

Weighted average portfolio yield

Well diversified portfolio

Zero beta portfolio

Zero investment portfolio

Add on rate

Adjustable rate mortgage

Adjustable rate or floating rate preferred share arps

Adjustable rate preferred stock

After tax real rate of return

All current rate method

All equity rate

Amortizing interest rate swap

Annual percentage rate

Annualized holding period return

Annuity rate

Arithmetic average mean rate of return

Arithmetic mean return

Auction rate preferred stock

Average accounting return

Average rate of return

Average tax rate

Back discount rate

Balanced portfolio

Bank rate

Base interest rate

Base rate

Benchmark interest rate

Break even payment rate

Break even tax rate

Broker loan rate

Call money rate

Capitalization rate

Ccpc rate reduction

Complete portfolio

Compound annual growth rate

Coupon rate

Crediting rate

Cross over rate

Crossover rate

Cumulative abnormal return

Current rate method

Dedicating a portfolio

Discount rate

Dividend rate

Dollar return

Dollar weighted rate of return

Effective annual interest rate

Effective interest rate international context

Effective rate

Effective true annual rate

Efficient portfolio

Equilibrium rate of interest

Ex post return

Exante return

Excess return on the market portfolio

Exchange rate

Exchange rate mechanism

Exchange rate risk

Exchange rate risk capital budgeting

Expected excess return

Expected future return

Expected return

Expected return beta relationship

Expected return on investment

Expected value of a return

Factor portfolio

Feasible portfolio

Federal funds rate

Fixed exchange rate

Fixed rate loan

Fixed rate payer

Floating exchange rate

Floating rate

Floating rate bonds

Floating rate contract

Floating rate loan

Floating rate note

Floating rate payer

Floating rate preferred

Floating rate preferreds

Floor rate

Foreign exchange rate

Forward exchange rate

Forward interest rate

Forward rate

Forward rate agreement

Geometric mean return

Growth rate

Hedged portfolio

Historical exchange rate

Holding period return

Horizon return

Hurdle rate

Implied repo rate

Implied return

Incremental internal rate of return

Interest rate

Interest rate agreement

Interest rate buydowns

Interest rate cap

Interest rate ceiling

Interest rate exposure

Interest rate floor

Interest rate on debt

Interest rate parity theorem

Interest rate risk

Interest rate risk management

Interest rate swap

Internal finance

Internal forecast

Internal growth rate

Internal market

Internal measure

Internal rate of return

Internal rate of return approach

Internal rate of return irr

Inverse floating rate note

Lease rate

Leveraged portfolio

Leveraged required return

London interbank offered rate libor

Marginal tax rate

Market capitalization rate

Market portfolio

Market return

Market risk return function

Markowitz efficient portfolio

Mean variance efficient portfolio

Minimum variance portfolio

Modern portfolio theory

Money rate of return

Mortgage rate

Multiple rates of return

Nominal annual rate

Nominal exchange rate

Nominal interest rate

Nominal interest rate international context

Nominal rate of interest

Normal portfolio

Optimal portfolio

Outright rate

Overnight rate

Pass through coupon rate

Pass through rate

Passive portfolio

Passive portfolio strategy

Pibor paris interbank offer rate

Plowback rate

Portfolio

Portfolio analysis

Portfolio insurance

Portfolio management

Portfolio manager

Portfolio opportunity set

Portfolio separation theorem

Portfolio theory

Portfolio turnover rate

Portfolio variance

Potential total return

Prime rate

Promised return

Rate anticipation swaps

Rate lock

Rate of interest

Rate of return

Rate of return ratios

Rate risk

Rate sensitive assets

Rate sensitive liabilities

Real interest rate

Real rate of interest

Real rate of return

Real return bonds

Realized return

Reference rate

Reinvestment rate

Replicating portfolio

Required return

Retention rate

Return

Return on assets

Return on equity

Return on investment

Return on total assets

Return to maturity expectations

Risk adjusted discount rate

Risk adjusted return

Risk free rate

Risk return tradeoff

Riskless rate

Safety net return

Settlement rate

Split rate tax system

Spot exchange rate

Spot interest rate

Spot rate

Spot rate curve

Stated annual interest rate

Stopping curve refunding rate

Structured portfolio strategy

Subperiod return

Sustainable growth rate

Swap interest rate

Swap rate

T period holding period return

Theoretical spot rate curve

Tilted portfolio

Time weighted rate of return

Total dollar return

Total rate of return

Unemployment rate

Unisex annuity rate

Unleveraged required return

Variable rate cds

Variable rate loan

Weighted average portfolio yield

Well diversified portfolio

Zero beta portfolio

Zero investment portfolio