Last Close
17.13
Total Return
90.33%
CAGR
81.05%
Volatility
69.12%
Max Drawdown
-40.44%
Sharpe Ratio
1.01
Beta
1.32
Correlation
0.54
52W High
24.43
52W Low
7.98
Volume Trend
0.56x
Real CAGR
70.52%
Period Returns
YTD
-16.52%
1 Month
1.06%
3 Months
-12.38%
6 Months
-10.31%
1 Year
73.38%
Fundamentals
EPS
-0.61
Charts
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