EXPECTED RETURN
67.62%
VOLATILITY / RISK
19.57%
BETA
0.52
SHARPE RATIO
3.24%
COMPARED WITH PEERS IN THE SAME INDUSTRY
EXPECTED ANUAL RETURNS [%]
RISK (VOLATILITY OF RETURNS) [%]
COMPARED WITH PEERS IN THE SAME INDUSTRY
SHARPE RATIO
* Peers are securities in the same industry and in the same size range across markets
Only securities with at least 6 months of returns history are included.
* Peers are securities in the same industry and in the same size range across markets
Only securities with at least 6 months of returns history are included.