BNY Mellon (Ireland) Financial Diagnostics

IE0004234583 -- Ireland Fund  

USD 2.31  0.00  0.00%

BNY Mellon SP 500 Idx Tracker A USD shows Risk Adjusted Performance of 0.1029 and Mean Deviation of 0.4888. The big decline in price over the last few months for BNY Mellon SPmay raise some interest from investors. The Fund closed today at a share price of 2.31 on 0 in trading volume. The fund money managers failed to add value to investors and positioning the entity components to exploit market volatility in December. However, diversifying your holdings with BNY Mellon SP 500 Idx Tracker A USD or any similar funds can still protect your portfolios during high-volatility market scenarios. The fund standard deviation of daily returns for 30 days (very short) investing horizon is currently 3.2992. The above-average volatility is mostly attributed to market volatility and speculations regarding some of the upcoming earning calls from BNY Mellon holdings. This diagnostics interface makes it easy to digest most current publicly released information about BNY Mellon as well as get updates on important government artifacts including earning estimates, SEC corporate filings and announcements. This module also helps to analysis BNY Mellon price relationship with some important fundamental indicators such as market cap and management efficiency. Please also check Risk vs Return Analysis.

BNY Mellon Note

The fund retains 99.34% of assets under management (AUM) in equities. The SubFund is constructed to mirror the Index and to provide longterm capital growth by investing in equity securities that represent a large crosssection of the U.S. publiclytraded stock market.

BNY Mellon SP Alerts

BNY Mellon SP is not yet fully synchronised with the market data
BNY Mellon SP generates negative expected return over the last 30 days
BNY Mellon SP has high historical volatility and very poor performance
The fund retains 99.34% of its assets under management (AUM) in equities

BNY Mellon Technical and Predictive Indicators

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Please also check Risk vs Return Analysis. Please also try Portfolio Rebalancing module to analyze risk-adjusted returns against different time horizons to find asset-allocation targets.