Financial Analysis Center

In-depth risk profiling and analysis for PANS.

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Revenue Breakdown

Shareholder Analysis

Risk Factor Analysis

Sector: Financials
Industry: G3 [Investment Service]

Stock Beta Std_dev VaR_95
PANS 0.2283 0.0997 -0.0103
Peers comparison
Stock Beta Std_dev VaR_95
YULE 0.1140 0.1082 -0.0112
RELI 0.3219 0.1325 -0.0137
AMOR 0.5341 0.1395 -0.0145
TRIM 1.0426 0.2911 -0.0302
PADI 3.3580 0.7675 -0.0795
index Beta Std_dev VaR_95
Average 1.0741 0.2878 -0.0298
Stock Risk-adj_Return Sharpe_ratio
PANS 3.7674 3.1153
Peers comparison
Stock Risk-adj_Return Sharpe_ratio
TRIM 4.3761 4.1528
YULE 3.0709 2.4703
PADI -0.2400 -0.3247
AMOR -1.0390 -1.5049
RELI -1.0448 -1.5353
index Risk-adj_Return Sharpe_ratio
Average 1.0246 0.6516
Stock Treynor_ratio SML Alpha_SML CML
PANS 1.3602 0.0055 0.3700 -0.1238
Peers comparison
Stock Treynor_ratio SML Alpha_SML CML
TRIM 1.1597 -0.2068 1.4809 -0.4866
PADI -0.0742 -0.8104 0.6262 -1.3890
YULE 2.3462 0.0353 0.2971 -0.1400
AMOR -0.3932 -0.0742 -0.0708 -0.1994
RELI -0.6320 -0.0189 -0.1195 -0.1861
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index Treynor_ratio SML Alpha_SML CML
Average 0.4813 -0.2150 0.4428 -0.4802