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Basic Question 0 of 3
Active return is equal to ______.
B. portfolio return - market portfolio return
C. portfolio return - benchmark return
D. active factor return + active specific return
A. market portfolio return - risk-free return
B. portfolio return - market portfolio return
C. portfolio return - benchmark return
D. active factor return + active specific return
User Contributed Comments 0
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I am happy to say that I passed! Your study notes certainly helped prepare me for what was the most difficult exam I had ever taken.

Andrea Schildbach
Learning Outcome Statements
explain constraints used in managing market risks, including risk budgeting, position limits, scenario limits, and stop-loss limits;
explain how risk measures may be used in capital allocation decisions.
CFA® 2025 Level II Curriculum, Volume 5, Module 41.