Last Close
10.42
Total Return
151.08%
CAGR
40.16%
Volatility
54.11%
Max Drawdown
-57.48%
Sharpe Ratio
0.54
Beta
1.05
Correlation
0.44
52W High
16.52
52W Low
9.01
Volume Trend
1.37x
Real CAGR
29.63%
Period Returns
YTD
-27.79%
1 Month
-2.34%
3 Months
-15.63%
6 Months
-20.52%
1 Year
-31.45%
Fundamentals
EPS
-55.38
Charts
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