Single Stock – Return Analysis

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Single stock return analysis involves assessing the historical and potential future performance of a specific stock. Investors typically examine the stock’s past returns to gauge its profitability and risk. Standard deviation is a key metric in this analysis, providing insights into the volatility of the stock’s returns over a given period. Value at Risk (VaR) is utilized to estimate the maximum potential loss within a specific confidence level, helping investors understand the downside risk associated with the stock.