Financial Analysis Center

In-depth risk profiling and analysis for RAJA.

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Revenue Breakdown

Shareholder Analysis

Risk Factor Analysis

Sector: Energy
Industry: A1.1 [Crude Petroleum & Natural Gas Production]

Stock Beta Std_dev VaR_95
RAJA 2.2784 0.5372 -0.0557
Peers comparison
Stock Beta Std_dev VaR_95
PGAS 0.7120 0.1736 -0.0180
SURE 0.1570 0.1886 -0.0195
CGAS 0.9994 0.2413 -0.0250
KOPI 1.2437 0.2456 -0.0254
MEDC 0.9600 0.2499 -0.0259
RATU 2.4184 0.5277 -0.0547
ENRG 2.1172 0.5653 -0.0586
MTFN 1.9729 0.6702 -0.0695
index Beta Std_dev VaR_95
Average 1.3226 0.3578 -0.0371
Stock Risk-adj_Return Sharpe_ratio
RAJA 0.4647 0.3437
Peers comparison
Stock Risk-adj_Return Sharpe_ratio
ENRG 1.8379 1.7230
MEDC 0.7711 0.5110
CGAS 0.1469 -0.1225
MTFN -0.3511 -0.4480
RATU -0.5182 -0.6414
SURE -0.4821 -0.8267
PGAS -0.5671 -0.9415
KOPI -1.5863 -1.8510
index Risk-adj_Return Sharpe_ratio
Average -0.0936 -0.3246
Stock Treynor_ratio SML Alpha_SML CML
RAJA 0.0810 -0.5290 0.7786 -0.9527
Peers comparison
Stock Treynor_ratio SML Alpha_SML CML
ENRG 0.4601 -0.4870 1.5260 -1.0061
MEDC 0.1330 -0.1853 0.3780 -0.4085
RATU -0.1400 -0.5655 0.2920 -0.9348
CGAS -0.0296 -0.1955 0.2310 -0.3922
MTFN -0.1522 -0.4493 0.2141 -1.2048
PGAS -0.2296 -0.1206 0.0221 -0.2639
SURE -0.9928 0.0241 -0.1150 -0.2923
KOPI -0.3655 -0.2592 -0.1303 -0.4002
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index Treynor_ratio SML Alpha_SML CML
Average -0.1646 -0.2798 0.3022 -0.6129