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Fidelity risk analysis

 
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Fidelity National In

Stock@New York Stock Exchange 
United States USD
     
Use Fidelity National Information Services Inc risk analysis concurrently with your other holdings, portfolios, and investing themes to enhance returns of your portfolios and to back test it against optimization strategy that fits your risk preferences.  Analyze Themes
Investment horizon: 
  30 Days    Login   to change

Projected Return Density against Market

Considering 30-days investment horizon, Fidelity has beta of 0.43 suggesting as returns on market go up, Fidelity avarage returns are expected to increase less than the benchmark. However during bear market, the loss on holding Fidelity National Information Services Inc will be expected to be much smaller as well. Moreover, Fidelity National Information Services Inc has alpha of 0.43 implying that it can potentially generate 0.43% excess return over S&P 500 after adjusting for the inherited market risk (beta).
Predicted Return Density
 
Returns   
S&P 500   Fidelity   
Considering 30-days investment horizon, the coefficient of variation of Fidelity is 174.62. The daily returns are destributed with a variance of 0.83 and standard deviation of 0.91. The mean deviation of Fidelity National Information Services Inc is currently at 0.61. For similar time horizon, the selected benchmark (S&P 500) has volatility of 0.55
alpha for Fidelity National Information Services Inc(alpha)= 0.43 
beta for Fidelity National Information Services Inc(beta) = 0.43 
volatility for Fidelity National Information Services Inc(volatility) = 0.91 

Actual Return Volatility

Fidelity National Information Services Inc has volatility of 0.91% on return distribution over 30 days investment horizon. S&P 500 shows 0.55% volatility of returns over 30 trading days.
Daily Returns (%)
Market   Equity   
 
    
April 22 2013
 40.86 
  
 40.60 
(0.26)  Macroaxis: -0.6363191385217768 Down   0.64%  
Lowest period price (30 days)
May 20 2013
 45.05 
  
 45.26 
0.21  Macroaxis: 0.4661487236404015 Up   0.47%  
Highest period price (30 days)
    
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Fidelity National Information Services Inc has a volatility of 0.91 and is 1.65 times more volatile than S&P 500. 11% of all equities and portfolios are less risky than Fidelity. Compared with the overall equity markets, volatility of historical daily returns of Fidelity National Information Services Inc is lower than 11 (%) of all global equities and portfolios over the last 30 days. Use Fidelity National Information Services Inc to enhance returns of your portfolios. The stock experiences normal upward fluctuation. As returns on market increase, Fidelity returns are expected to increase less than the market. However during bear market, the loss on holding Fidelity will be expected to be smaller as well.

Fidelity correlation with market

Modest diversification
Overlapping area represents amount of risk that can be diversified away by holding Fidelity National Information and equity matching GSPC index in the same portfolio

Fidelity Current Risk Indicators

Risk Adjusted Performance0.3212
Market Risk Adjusted Performance1.2
Mean Deviation0.6114
Downside Deviation0.4264
Coefficient Of Variation174.62
Standard Deviation0.9127
Variance0.8329

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