[
THE INVESTOR] As of Apr. 26 12:55 P.M., S&T MOTIV slightly edged up 0.98% to 46,250 won. It had declined 5.9% through the past month. Standard deviation, which indicates variableness, records 2% over the same period of time over one month.
Compared with its close competitors within the same industry, KOSPI, since the monthly volatility of S&T MOTIV was at a low level, the earnings rate over one month was also relatively lower than that of its peer group. Over the recent month, the return-on-risk, the return on investment with consideration about risk, was -2.9%. By tumbling of stock price, the return-on-risk is the lowest among its peer group in spite of low volatility. Moreover, compared with the KOSPI industry, the return-on-risk is below the industrial mean, 3.6, and thus the industrial comparison performance was not so good.
By HeRo (
hero@heraldcorp.com)
This article is produced by the algorithm developed by the artificial intelligence developer ThinkPool in collaboration with Herald Corp.