Davide Campari (Germany) Performance

58H Stock  EUR 5.54  0.02  0.36%   
The firm shows a Beta (market volatility) of -0.15, which means not very significant fluctuations relative to the market. As returns on the market increase, returns on owning Davide Campari are expected to decrease at a much lower rate. During the bear market, Davide Campari is likely to outperform the market. At this point, Davide Campari Milano has a negative expected return of -0.49%. Please make sure to confirm Davide Campari's value at risk, skewness, and the relationship between the maximum drawdown and potential upside , to decide if Davide Campari Milano performance from the past will be repeated at some point in the near future.

Risk-Adjusted Performance

0 of 100

 
Weak
 
Strong
Very Weak
Over the last 90 days Davide Campari Milano has generated negative risk-adjusted returns adding no value to investors with long positions. Despite uncertain performance in the last few months, the Stock's basic indicators remain nearly stable which may send shares a bit higher in January 2025. The current disturbance may also be a sign of long-run up-swing for the company stockholders. ...more
Begin Period Cash Flow548.1 M
Total Cashflows From Investing Activities-153.2 M
  

Davide Campari Relative Risk vs. Return Landscape

If you would invest  793.00  in Davide Campari Milano on September 3, 2024 and sell it today you would lose (239.00) from holding Davide Campari Milano or give up 30.14% of portfolio value over 90 days. Davide Campari Milano is currently producing negative expected returns and takes up 3.3514% volatility of returns over 90 trading days. Put another way, 29% of traded stocks are less volatile than Davide, and 99% of all traded equity instruments are likely to generate higher returns over the next 90 trading days.
  Expected Return   
       Risk  
Assuming the 90 days horizon Davide Campari is expected to under-perform the market. In addition to that, the company is 4.5 times more volatile than its market benchmark. It trades about -0.15 of its total potential returns per unit of risk. The Dow Jones Industrial is currently generating roughly 0.2 per unit of volatility.

Davide Campari Market Risk Analysis

Today, many novice investors tend to focus exclusively on investment returns with little concern for Davide Campari's investment risk. Standard deviation is the most common way to measure market volatility of stocks, such as Davide Campari Milano, and traders can use it to determine the average amount a Davide Campari's price has deviated from the expected return over a period of time. It is calculated by determining the expected price for the established period and then subtracting this figure from each price point. The differences are then squared, summed, and averaged to produce the variance.

Sharpe Ratio = -0.1471

Best PortfolioBest Equity
Good Returns
Average Returns
Small Returns
CashSmall RiskAverage RiskHigh RiskHuge Risk
Negative Returns58H

Estimated Market Risk

 3.35
  actual daily
29
71% of assets are more volatile

Expected Return

 -0.49
  actual daily
0
Most of other assets have higher returns

Risk-Adjusted Return

 -0.15
  actual daily
0
Most of other assets perform better
Based on monthly moving average Davide Campari is not performing at its full potential. However, if added to a well diversified portfolio the total return can be enhanced and market risk can be reduced. You can increase risk-adjusted return of Davide Campari by adding Davide Campari to a well-diversified portfolio.

Davide Campari Fundamentals Growth

Davide Stock prices reflect investors' perceptions of the future prospects and financial health of Davide Campari, and Davide Campari fundamentals are critical determinants of its market performance. Overall, investors pay close attention to revenue and earnings growth, profit margins, and debt levels. These fundamentals can have a significant impact on Davide Stock performance.

About Davide Campari Performance

By analyzing Davide Campari's fundamental ratios, stakeholders can gain valuable insights into Davide Campari's financial health, operational efficiency, and overall profitability, helping them make informed investment and management decisions. For instance, if Davide Campari has a high ROA and ROE, it suggests that the company is efficiently using its assets and equity to generate substantial profits, making it an attractive investment. Conversely, if Davide Campari has a low ROA and ROE, it may indicate underlying issues in asset and equity management, signaling a need for operational improvements.
Davide Campari-Milano N.V., together with its subsidiaries, markets and distributes alcoholic and non-alcoholic beverages in the Americas, the Middle East, Africa, Europe, and the Asia-Pacific. Davide Campari-Milano N.V. is a subsidiary of Lagfin S.C.A., Socit en Commandite par Actions. DAVIDE CAMPARI operates under BeveragesWineries Distilleries classification in Germany and is traded on Frankfurt Stock Exchange. It employs 4000 people.

Things to note about Davide Campari Milano performance evaluation

Checking the ongoing alerts about Davide Campari for important developments is a great way to find new opportunities for your next move. Stock alerts and notifications screener for Davide Campari Milano help investors to be notified of important events, changes in technical or fundamental conditions, and significant headlines that can affect investment decisions.
Davide Campari generated a negative expected return over the last 90 days
Davide Campari has high historical volatility and very poor performance
About 54.0% of the company shares are owned by insiders or employees
Evaluating Davide Campari's performance can involve analyzing a variety of financial metrics and factors. Some of the key considerations to evaluate Davide Campari's stock performance include:
  • Analyzing Davide Campari's financial statements, including its income statement, balance sheet, and cash flow statement, helps in understanding its overall financial health and growth potential.
  • Getting a closer look at valuation ratios like price-to-earnings (P/E) ratio, price-to-sales (P/S) ratio, and price-to-book (P/B) ratio help in understanding whether Davide Campari's stock is overvalued or undervalued compared to its peers.
  • Examining Davide Campari's industry or sector and how it is performing can give you an idea of its growth potential and how it is positioned relative to its competitors.
  • Evaluating Davide Campari's management team can have a significant impact on its success or failure. Reviewing the track record and experience of Davide Campari's management team can help you assess the Company's leadership.
  • Pay attention to analyst opinions and ratings of Davide Campari's stock. These opinions can provide insight into Davide Campari's potential for growth and whether the stock is currently undervalued or overvalued.
It's essential to remember that evaluating Davide Campari's stock performance is not an exact science, and many factors can impact Davide Campari's stock market price. Therefore, it's also important to diversify your portfolio and not rely solely on one company or stock for your investments.

Complementary Tools for Davide Stock analysis

When running Davide Campari's price analysis, check to measure Davide Campari's market volatility, profitability, liquidity, solvency, efficiency, growth potential, financial leverage, and other vital indicators. We have many different tools that can be utilized to determine how healthy Davide Campari is operating at the current time. Most of Davide Campari's value examination focuses on studying past and present price action to predict the probability of Davide Campari's future price movements. You can analyze the entity against its peers and the financial market as a whole to determine factors that move Davide Campari's price. Additionally, you may evaluate how the addition of Davide Campari to your portfolios can decrease your overall portfolio volatility.
Positions Ratings
Determine portfolio positions ratings based on digital equity recommendations. Macroaxis instant position ratings are based on combination of fundamental analysis and risk-adjusted market performance
Portfolio Backtesting
Avoid under-diversification and over-optimization by backtesting your portfolios
Insider Screener
Find insiders across different sectors to evaluate their impact on performance
USA ETFs
Find actively traded Exchange Traded Funds (ETF) in USA
Odds Of Bankruptcy
Get analysis of equity chance of financial distress in the next 2 years
Money Flow Index
Determine momentum by analyzing Money Flow Index and other technical indicators
Efficient Frontier
Plot and analyze your portfolio and positions against risk-return landscape of the market.
Stock Tickers
Use high-impact, comprehensive, and customizable stock tickers that can be easily integrated to any websites
Portfolio Analyzer
Portfolio analysis module that provides access to portfolio diagnostics and optimization engine