SGB GELDMARKT T owns Risk Adjusted Performance of
(0.0003387) and Downside Deviation of 1.4. Macroaxis technical analysis interface makes it possible for you to check helpful technical drivers of SGB GELDMARKT T as well as the relationship between them. Strictly speaking you can use this information to find out if the fund will indeed mirror its model of historical prices and volume patterns or the prices will eventually revert. We found nineteen technical drivers for SGB GELDMARKT which can be compared to its peers in the sector. Please validate SGB GELDMARKT T Mean Deviation and the relationship between Semi Deviation and Coefficient Of VariationMean Deviation, Downside Deviation, Standard Deviation, as well as the relationship between Semi Deviation and Coefficient Of Variation to decide if SGB GELDMARKT T is priced fairly providing market reflects its prevailing price of 72.29 per share.
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SGB GELDMARKT T Technical Analysis
We are not able to run technical analysis function on this symbol. We either do not have that equity or its historical data is not available at this time. Please try again later.
SGB GELDMARKT T Trend AnalysisUse this graph to draw trend lines for SGB GELDMARKT T. You can use it to identify possible trend reversals for SGB GELDMARKT as well as other signals and approximate when it will take place. Remember, you need at least two touches of the trend line with actual SGB GELDMARKT price movement. To start drawing, click on the pencil icon on top-right. To remove the trend, use eraser icon.
SGB GELDMARKT Best Fit Change LineThe following chart estimates an ordinary least squares regression model for SGB GELDMARKT T applied against its price change over selected period. The best fit line has a slop of 0.0044 % which may suggest that SGB GELDMARKT T market price will keep on failing further. It has 78 observation points and a regression sum of squares at 0.19, which is the sum of squared deviations for the predicted SGB GELDMARKT price change compared to its average price change.
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|Risk Adjusted Performance||(0.0003387)|
|Market Risk Adjusted Performance||1.82|
|Coefficient Of Variation||85228.16|
|Total Risk Alpha||0.129|
|Value At Risk||(2.24)|
|Expected Short fall||(1.52)|
Please see also Stocks Correlation. Please also try Pair Correlation module to compare performance and examine historical correlation between any two equity instruments.