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Beta (1 Year)

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Price
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52-week range

Analysis

How does Pod Point Holdings's Beta (1 Year) benchmark against competitors?

We've identified the following companies as similar to Pod Point Group Holdings PLC because they operate in a related industry or sector. We also considered size, growth, and various financial metrics to narrow down the list to the ones listed below.

Metric Usage: Beta (1 Year)

beta_1y
Slug
number
Datatype
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Format
current
Default Period
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Plan

To view the full list of supported financial metrics please see Complete Metrics Listing.

Similar Metrics

Metrics similar to Beta (1 Year) in the risk category include:

  • Cash / Total Capital - A ratio that measures the level of the cash relative to the market value of total capital.
  • Debt / Equity - A ratio that measures the level of the debt relative to the book value of common equity.
  • Total Liabilities / Total Assets - A ratio that measures the proportion of a firm's assets financed by liabilities.
  • Degree of Combined Leverage (DCL) - The degree of combined leverage expands on the degree of operating leverage to provide a view of a company's ability to generate profits from sales. It multiplies DOL and DFL.
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Beta (1 Year)

A ratio that measures the risk or volatility of a company's share price in comparison to the market as a whole. Beta (1 Year) is calculated using one ...

Definition of Beta (1 Year)

A ratio that measures the risk or volatility of a company's share price in comparison to the market as a whole. Beta (1 Year) is calculated using one year of weekly returns.

Sector Benchmark Analysis

-1.410.592.83050100150200

The chart above depicts the distribution of beta (1 year) for companies operating in the Industrials sector in the Developed economic region. Over 3,230 companies were considered in this analysis, and 3,103 had meaningful values. The average beta (1 year) of companies in the sector is 0.53 with a standard deviation of 0.65.

Pod Point Group Holdings PLC's Beta (1 Year) of -0.30 ranks in the 8.4% percentile for the sector. The following table provides additional summary stats:

Beta (1 Year) In The Industrials Sector
Economic Risk RegionDeveloped
Total Constituents3,231
Included Constituents3,103
Min-1.42
Max2.82
Median0.48
Mean0.53
Standard Deviation0.65

You can find companies with similar beta (1 year) using this stock screener.

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