Absa Multi Competition

0P0000IR1G   2.61  0.01  0.38%   
  

Absa Multi Competition Correlation Matrix

Typically, diversification allows investors to combine positions across different asset classes to reduce overall portfolio risk. Correlation between Absa Multi and its competitors represents the degree of relationship between the price movements of corresponding funds. A correlation of about +1.0 implies that the price of Absa and its corresponding peer move in tandem. A correlation of -1.0 means that prices move in opposite directions. A correlation of close to zero suggests that the price movements of assets are uncorrelated; in other words, the historical price movement of Absa Multi Managed does not affect the price movement of the other competitor.
Click cells to compare fundamentals   Check Volatility   Backtest Portfolio
High positive correlations   
0P0000SNBV0P000182K2
0P0000IR1G0P0000JYW0
0P000182K20P0000JYW0
0P0000SNBV0P0000JYW0
0P000182K20P0000IR1G
0P0000SNBV0P0000IR1G
  
High negative correlations   
0P0000SNBV0P00016382
0P000182K20P00016382
0P0000SNBV0P00016383
0P000182K20P00016383
0P000163820P00016383
0P000163820P0000IR1G

Risk-Adjusted Indicators

There is a big difference between Absa Fund performing well and Absa Multi Fund doing well as a business compared to the competition. There are so many exceptions to the norm that investors cannot definitively determine what's good or bad unless they analyze Absa Multi's multiple risk-adjusted performance indicators across the competitive landscape. These indicators are quantitative in nature and help investors forecast volatility and risk-adjusted expected returns across various positions.
Mean DeviationJensen AlphaSortino RatioTreynor RatioSemi DeviationExpected ShortfallPotential UpsideValue @RiskMaximum Drawdown
0P0000ZE60  0.00  0.00  0.00  0.00  0.00 
 0.00 
 0.00 
0P0000ZE61  0.18  0.04  0.00 (1.09) 0.00 
 0.69 
 1.38 
0P000182JS  0.22  0.04 (0.19) 0.49  0.00 
 0.47 
 1.18 
0P0000JYW0  0.22  0.06 (0.13) 1.20  0.00 
 0.78 
 1.19 
0P0000IR1G  0.23  0.06 (0.13) 1.18  0.00 
 0.40 
 1.18 
0P00016383  0.00  0.00  0.00  0.00  0.00 
 0.00 
 0.00 
0P00016382  0.00  0.00  0.00  0.00  0.00 
 0.00 
 0.00 
0P000182K2  0.25  0.06 (0.11) 0.84  0.00 
 0.77 
 1.57 
0P0000SNBV  0.24  0.06 (0.11) 1.13  0.00 
 0.77 
 1.57 

Absa Multi Competitive Analysis

The better you understand Absa Multi competitors, the better chance you have of utilizing it as a position in your portfolios. From an individual investor's perspective, Absa Multi's competitive analysis can cover a whole range of metrics. Some of these will be more critical depending on who you are as an investor and how you react to market volatility. However, if you are locking your investment sandscape to a long-term horizon, comparing the fundamental indicator across Absa Multi's competition over several years is one of the best ways to analyze its investment potential.
    
 Better Than Average     
    
 Worse Than Peers    View Performance Chart
0P0000IR1G 0P0000ZE61 0P000182JS 0P0000JYW0 0P000182K2 0P0000SNBV
 0.38 
 2.61 
Absa
 0.00 
 1.48 
Absa
 0.23 
 4.39 
Absa
 0.39 
 2.60 
Absa
 0.38 
 2.62 
Absa
 0.38 
 2.62 
Absa
Market Volatility
(90 Days Market Risk)
Market Performance
(90 Days Performance)
Odds of Financial Distress
(Probability Of Bankruptcy)
Current Valuation
(Equity Enterprise Value)
Buy or Sell Advice
(Average Analysts Consensus)
Not Available
Not Available
Not Available
Not Available
Not Available
Not Available
Trade Advice
(90 Days Macroaxis Advice)
Daily Balance Of Power
Day Typical Price
Period Momentum Indicator
Rate Of Daily Change
Day Median Price
Price Action Indicator
Coefficient Of Variation
Mean Deviation
Jensen Alpha
Total Risk Alpha
Sortino Ratio
Downside Variance
Standard Deviation
Kurtosis
Potential Upside
Treynor Ratio
Maximum Drawdown
Variance
Market Risk Adjusted Performance
Risk Adjusted Performance
Skewness
Information Ratio
Value At Risk
Expected Short fall
Downside Deviation
Semi Variance

Absa Multi Competition Performance Charts

Five steps to successful analysis of Absa Multi Competition

Absa Multi's competitive analysis is the process of researching and evaluating its competitive landscape. It provides an understanding of the strengths, weaknesses, opportunities, and threats (SWOT) faced by Absa Multi Managed in relation to its competition. Absa Multi's competition analysis typically involves several steps, including:
  • Identifying the key players in the market: This involves identifying the major competitors of Absa Multi in the market, both direct and indirect, as well as new entrants and disruptive technologies.
  • Assessing the strengths and weaknesses of each competitor: This involves evaluating each competitor's strengths and weaknesses in areas such as product offerings, market share, brand recognition, financial performance, and distribution channels.
  • Understanding the competitive environment: This involves evaluating the regulatory environment, economic conditions, and other factors that may impact Absa Multi's competitive landscape.
  • Identifying opportunities and threats: This involves using the information gathered during the analysis to identify opportunities and threats to Absa Multi Managed, and developing a strategy to address them.
  • Evaluating the competitive landscape: This involves understanding the competitive dynamics of the market, such as pricing, marketing, and distribution strategies, as well as analyzing the competitive advantage of each competitor.
Competitive analysis is an essential tool for businesses to stay ahead of the competition and can be used to inform decision-making and strategy development. By understanding the competitive landscape and staying informed about the activities of competitors, a company can make more informed decisions and improve its overall performance.

Complement your Absa Multi position

In addition to having Absa Multi in your portfolios, you can quickly add positions using our predefined set of ideas and optimize them against your very unique investing style. A single investing idea is a collection of funds, stocks, ETFs, or cryptocurrencies that are programmatically selected from a pull of investment themes. After you determine your investment opportunity, you can then find an optimal portfolio that will maximize potential returns on the chosen idea or minimize its exposure to market volatility.

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You can either use a buy-and-hold strategy to lock in the entire theme or actively trade it to take advantage of the short-term price volatility of individual constituents. Macroaxis can help you discover thousands of investment opportunities in different asset classes. In addition, you can partner with us for reliable portfolio optimization as you plan to utilize Construction Materials Theme or any other thematic opportunities.
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