Financial Analysis Center

In-depth risk profiling and analysis for CMNP.

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Revenue Breakdown

Shareholder Analysis

Risk Factor Analysis

Sector: Infrastructures
Industry: J1 [Transportation Infrastructure]

Stock Beta Std_dev VaR_95
CMNP 0.6353 0.2587 -0.0268
Peers comparison
Stock Beta Std_dev VaR_95
IPCM 0.1750 0.0992 -0.0103
IPCC 0.6757 0.1789 -0.0185
JSMR 0.4124 0.1854 -0.0192
CASS 0.0903 0.1954 -0.0203
PORT 0.4892 0.2700 -0.0280
GMFI 0.7067 0.3749 -0.0388
KARW 0.9904 0.4100 -0.0425
index Beta Std_dev VaR_95
Average 0.5057 0.2448 -0.0254
Stock Risk-adj_Return Sharpe_ratio
CMNP 0.1464 -0.1048
Peers comparison
Stock Risk-adj_Return Sharpe_ratio
IPCC 0.5307 0.1672
IPCM 0.5532 -0.1023
PORT -0.0570 -0.2977
GMFI -0.2501 -0.4235
JSMR -0.7680 -1.1186
KARW -1.6614 -1.8199
CASS -1.5331 -1.8657
index Risk-adj_Return Sharpe_ratio
Average -0.4551 -0.7801
Stock Treynor_ratio SML Alpha_SML CML
CMNP -0.0427 -0.1006 0.1385 -0.4251
Peers comparison
Stock Treynor_ratio SML Alpha_SML CML
IPCC 0.0443 -0.1112 0.2061 -0.2739
PORT -0.1643 -0.0625 0.0472 -0.4465
IPCM -0.0580 0.0194 0.0355 -0.1229
GMFI -0.2246 -0.1192 0.0255 -0.6452
JSMR -0.5028 -0.0425 -0.0998 -0.2862
CASS -4.0391 0.0415 -0.3411 -0.3052
KARW -0.7535 -0.1932 -0.4880 -0.7118
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index Treynor_ratio SML Alpha_SML CML
Average -0.8140 -0.0668 -0.0878 -0.3988