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FNMFO FNMFO 096770 KDDIF World Allocation Money Funds Government Corporate Bonds 
Benchmark SP 500  1,650   0.91  Index Moved Down -0.06% ...


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Collecting data for RNCG

Renaissance quote and profile

 
 Companies |  Insiders  | Dashboard  
     
0.01
  
OTC STOCK
0.00  No Change   0.00%  
 

Diversification Suggestion

Use Renaissance to protect against small markets fluctuations. The stock experiences little momentum. The pattern is not really predictable. Watch out for false signals
Check current 30 days Renaissance correlation with market (S&P 500)
1 Month Beta 0.0  
Highest Price:  
Lowest Price:  
0.01  
0.01  
April 25 2013 
April 25 2013 
Unless we do not have data at the moment the returns on S&P 500 and Renaissance are completely uncorrelated
Renaissance Capital Group Inc Utah not significant BetaRenaissance Capital Beta Legend
RNCG United States OTC
Renaissance Capital Group Inc Utah
Benchmark S&P 500
Traded on OTC Market
    
 United States Nasdaq   0.97 % Macroaxis: 0.97 Moved Up  
 
 thisGreen RNCG RNCG.PK agains markets  0.00 % No Change  
 United States Russel   0.00 % No Change  
 United States SP 500   0.06 % Macroaxis: 0.06 Moved Down  
 
 United States NYSE   0.25 % Macroaxis: 0.25 Moved Down  
 
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Renaissance correlation with market

Pay attention
Overlapping area represents amount of risk that can be diversified away by holding Renaissance Capital Group Inc. and equity matching GSPC index in the same portfolio

Renaissance Performance

Price Growth (%)  
Market   Renaissance   
 

Renaissance 30-Days Risk-Return Take

If you would invest  1.00  in Renaissance Capital Group Inc Utah on April 25, 2013 and sell it today you would earn a total of  0.00 from holding Renaissance Capital Group Inc Utah or generate 0.0% return on investment over 30 days. Renaissance Capital Group Inc Utah is generating negative expected returns and assumes 0.0% volatility on return distribution over the 30 days horizon. Simply put, 0% of equities are less volatile than Renaissance Capital Group Inc Utah and 99% of equity instruments are likely to generate higher returns than the company over the next 30 trading days.
Daily Expected Return (%)
 
Change Benchmark   Risk [Daily Volatility] (%)
Past Market
Over 30
Days
0
Out Of
100
 
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