Financial Analysis Center

In-depth risk profiling and analysis for MGNA.

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Revenue Breakdown

Shareholder Analysis

Risk Factor Analysis

Sector: Financials
Industry: G5 [Holding & Investment Companies]

Stock Beta Std_dev VaR_95
MGNA 2.0191 0.9409 -0.0975
Peers comparison
Stock Beta Std_dev VaR_95
SFAN 0.0750 0.0231 -0.0024
DNET 0.0844 0.0717 -0.0074
BCAP 0.2732 0.1119 -0.0116
BPII 0.2889 0.1710 -0.0177
VICO 0.7545 0.1797 -0.0186
SMMA -0.4208 0.1845 -0.0191
SRTG 0.8231 0.2339 -0.0242
CASA 0.5054 0.2670 -0.0277
MERI 1.4754 0.3069 -0.0318
GSMF 0.9284 0.3636 -0.0377
index Beta Std_dev VaR_95
Average 0.4788 0.1913 -0.0198
Stock Risk-adj_Return Sharpe_ratio
MGNA 3.4385 3.3694
Peers comparison
Stock Risk-adj_Return Sharpe_ratio
STAR 3.1567 3.0804
NICK 2.7182 2.5500
CASA 2.0664 1.8230
SMMA 1.5150 1.1627
DNET 1.1150 0.2078
PEGE 0.2764 0.1549
GSMF 0.2366 0.0578
LPPS -0.0201 -0.1282
SRTG 0.0631 -0.2148
SFAN 2.0324 -0.7858
index Risk-adj_Return Sharpe_ratio
Average 1.3160 0.7908
Stock Treynor_ratio SML Alpha_SML CML
MGNA 1.5701 -0.4614 3.6967 -1.7176
Peers comparison
Stock Treynor_ratio SML Alpha_SML CML
STAR 3.9690 -0.1074 2.7967 -1.5490
NICK 1.6609 -0.0897 1.1407 -0.6675
CASA 0.9631 -0.0668 0.6185 -0.4408
PEGE 0.0616 -0.2857 0.4335 -0.9483
LPPS -0.0559 -0.2941 0.2820 -1.0732
GSMF 0.0226 -0.1770 0.2630 -0.6238
SRTG -0.0610 -0.1496 0.1643 -0.3782
SMMA -0.5098 0.1747 0.1048 -0.2846
DNET 0.1765 0.0430 0.0369 -0.0707
SFAN -0.2416 0.0454 0.0014 0.0213
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index Treynor_ratio SML Alpha_SML CML
Average 0.5985 -0.0907 0.5842 -0.6015