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US Market Closed: Feb 9, 17:48 PM 2012
NYSE
8081.25
1.73
NASDAQ
2927.23
11.37
and more..
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Collecting necessary data for
BH
and
INN
...
Asset Comparison and Correlation
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BONGRAIN
and
INNELEC MULTI
Volatility
Matrix
Run Correlation
Diversification
Very weak diversification
Overlapping area represents amount of risk that can be diversified away by holding BONGRAIN and INNELEC MULTI in the same portfolio
(assuming nothing else is changed)
Optimize
Correlation Coefficient
0.5
Parameters
Time Period
1 Month
[
change
]
Direction
Positive
Strength
Weak
Accuracy
52.63%
Values
Daily Returns
Suggest
BONGRAIN
Profile
47.36
Intraday
One Month
0.04
0.08%
BH
PARIS
BONGRAIN
P/E
8.36
P/B Ratio
0.62
Open
47.40
Day Low
47.36
Market Cap
682.1M
Volume
6176
Last Close
47.32
Short Ratio
Not Applicable
Last Traded
2/9/2012
Year High
70.00
Percent Change
0.08%
EBITDA
246.7M
Year Low
44.00
Absolute Change
0.04
Book Value
76.687
EPS
5.661
Day High
47.74
Target Price
Not Applicable
Current EPS
5.661
This Year EPS
Not Applicable
Current PE
8.36
This Year PE
Not Applicable
Dividend
1.60
Dividend Yield
3.38
INNELEC MULTI
Profile
7.14
Intraday
One Month
0.00
0.00%
INN
PARIS
INNELEC MULTI
P/E
28.00
P/B Ratio
0.90
Open
7.14
Day Low
7.14
Market Cap
11.7M
Volume
201
Last Close
7.14
Short Ratio
Not Applicable
Last Traded
2/9/2012
Year High
25.64
EBITDA
1.3M
Year Low
25.25
Book Value
7.932
EPS
0.255
Day High
7.14
Target Price
Not Applicable
Current EPS
0.255
This Year EPS
Not Applicable
Current PE
28.00
This Year PE
Not Applicable
Updating Transaction...
Click
"OK"
to permanently delete this portfolio. Click
"Cancel"
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/div>
Report was successfully generated.
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