Globalstar Inc. Common Stock (GSAT)

Market & Benchmark

Market Market
US
Industry Industry
Consumer Discretionary
Benchmark Benchmark
SPX:S&P 500 INDEX
Risk-Free Rate Risk-Free Rate
10 Year US Treasury Yield

Expected Performance

Expected Return Expected Return (Historical)
1573.13%
CAPM Return Expected Return (CAPM)
78.24%
Volatility Volatility/Risk
2174.36%
Beta Beta
17.02
Sharpe Ratio Sharpe Ratio
0.84%

Past Performance

CAGR CAGR (Compound Annual Growth Rate, 3Y)
158.22%
3-Year High 3-Year High
23.09USD
3-Year Low 3-Year Low
1.02USD
3-Year High 1-Year High
23.09USD
3-Year Low 1-Year Low
19.57USD

Price History (3 Years)
25.00025.00020.00020.00015.00015.00010.00010.0005.0005.0000.0000.000Mar 2022Mar 2022Mar 2022Mar 2022Apr 2022Apr 2022Apr 2022Apr 2022Apr 2022Apr 2022May 2022May 2022May 2022May 2022May 2022May 2022Jun 2022Jun 2022Jun 2022Jun 2022Jun 2022Jun 2022Jul 2022Jul 2022Feb 2025Feb 2025Feb 2025Feb 2025
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Risk-Return Position
(Compared with Peers in the Same Industry)
Expected Annual Returns (%)
Risk (Volatility of Returns) (%)

Beta-Sharpe
(Compared with Peers in the Same Industry)
Beta
Sharpe Ratio

Top Peers* with the Lowest Volatility
* 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)

Top 20 Holdings