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BATR.B: Atlanta Braves Holdings, Inc.

Atlanta Braves Holdings, Inc., through its subsidiary, Braves Holdings, LLC, owns and operates the Atlanta Braves Major League Baseball Club in the United States. It operates through Baseball and Mixe...

59.99 USD
Price
USD
Fair Value
Upside
45.04 - 62.75
52-week range

Analysis

Fiscal Years
Trailing Twelve Months
Fiscal Halfs
Fiscal Quarters
Daily
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The following section summarizes insights on Atlanta Braves Holdings, Inc.'s Beta (2 Year):

BATR.BCOMM.USFWON.KGMGITTWOFRZTRSVR0.000.200.400.600.801.00

Performance Summary
  • Atlanta Braves's beta (2 year) is 0.53

How does Atlanta Braves's Beta (2 Year) benchmark against competitors?

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We've identified the following companies as similar to Atlanta Braves Holdings, Inc. 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 (2 Year)

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beta_2y
Slug
number
Datatype
text
Format
current
Default Period
Free
Plan

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

Similar Metrics

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Metrics similar to Beta (2 Year) in the risk category include:

  • Current Ratio - A ratio that compares a company's current total assets to its current total liabilities.
  • FCF / Net Income - This data item measures the ratio of levered free cash flow to net income to common, excluding extra items. It is a quick and helpful check on the quality of earnings.
  • Realized Volatility (90d Annualized) - Realized volatility (also known as rolling volatility) over the last 90 days.
  • Financial Leverage - A ratio that measures the dollars in total assets for each dollar of common equity.
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Beta (2 Year)

A ratio that measures the risk or volatility of a company's share price in comparison to the market as a whole. Beta (2 Year) is calculated using two ...

Definition of Beta (2 Year)

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A ratio that measures the risk or volatility of a company's share price in comparison to the market as a whole. Beta (2 Year) is calculated using two years of weekly returns.

Sector Benchmark Analysis

Sector
Industry Group
Industry
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-1.49-0.490.512.362060100

The chart above depicts the distribution of beta (2 year) for companies operating in the Communication Services sector in the Developed economic region. Over 1,030 companies were considered in this analysis, and 995 had meaningful values. The average beta (2 year) of companies in the sector is 0.47 with a standard deviation of 0.58.

Atlanta Braves Holdings, Inc.'s Beta (2 Year) of 0.53 ranks in the 57.4% percentile for the sector. The following table provides additional summary stats:

Beta (2 Year) In The Communication Services Sector
Economic Risk RegionDeveloped
Total Constituents1,037
Included Constituents995
Min-1.57
Max2.34
Median0.44
Mean0.47
Standard Deviation0.58

You can find companies with similar beta (2 year) using this stock screener.

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