Financial Analysis Center

In-depth risk profiling and analysis for MLPL.

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Revenue Breakdown

Shareholder Analysis

Risk Factor Analysis

Sector: Industrials
Industry: C3 [Multi-Sector Holdings]

Stock Beta Std_dev VaR_95
MLPL 1.5998 0.3841 -0.0398
Peers comparison
Stock Beta Std_dev VaR_95
ASII 0.6025 0.1480 -0.0153
HGII 0.6508 0.1547 -0.0160
BHIT 1.1244 0.2308 -0.0239
BMTR 1.3673 0.2555 -0.0265
FOLK 2.8480 0.7735 -0.0802
BNBR 3.8936 0.8208 -0.0851
index Beta Std_dev VaR_95
Average 1.7478 0.3972 -0.0412
Stock Risk-adj_Return Sharpe_ratio
MLPL -1.2633 -1.4325
Peers comparison
Stock Risk-adj_Return Sharpe_ratio
FOLK 2.0992 2.0151
BNBR 0.8361 0.7569
BMTR -0.6989 -0.9533
ASII -0.5147 -0.9540
HGII -0.8592 -1.2794
BHIT -1.7963 -2.0780
index Risk-adj_Return Sharpe_ratio
Average -0.1556 -0.4155
Stock Treynor_ratio SML Alpha_SML CML
MLPL -0.3439 -0.3521 -0.1331 -0.6627
Peers comparison
Stock Treynor_ratio SML Alpha_SML CML
FOLK 0.5473 -0.6775 2.3011 -1.4004
BNBR 0.1596 -0.9501 1.6363 -1.4901
BMTR -0.1781 -0.2915 0.1129 -0.4191
ASII -0.2343 -0.0921 0.0159 -0.2153
HGII -0.3041 -0.1047 -0.0282 -0.2281
BHIT -0.4266 -0.2281 -0.1865 -0.3723
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index Treynor_ratio SML Alpha_SML CML
Average -0.0727 -0.3907 0.6419 -0.6875