Last Close
130.61
Total Return
145.09%
CAGR
19.68%
Volatility
40.23%
Max Drawdown
-60.51%
Sharpe Ratio
0.22
Beta
1.01
Correlation
0.49
52W High
131.61
52W Low
71.08
Volume Trend
1.10x
Real CAGR
9.14%
Period Returns
YTD
12.43%
1 Month
35.00%
3 Months
4.55%
6 Months
45.06%
1 Year
72.22%
Fundamentals
P/E Ratio
-0.97
EPS
-20.48
Charts
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