Gives the detailed Risk-Reward Metrics as Computed by MorningStar
PortfolioManager(ticker, view = c("overview", "detailed"))
Enter the Fund TICKER
Choose a View of the Portfolio, Default: c("overview", "detailed")
The output is a tibble that gives the overview of the risk and reward metrics of different holdings in a portfoluio.
This function can be used to examine and assess your holdings in different funds