Franklin Financial Expected Short fall
| FRAF Stock | | | USD 57.22 -0.27 -0.47% |
Expected shortfall (or ES) is a risk measure that evaluates the market risk of an equity instrument. It is an alternative to value at risk that is more sensitive to the shape of the loss distribution in the tail of the distribution. The expected shortfall at a particular level is the expected return on the portfolio in the worst percent of the cases. Expected shortfall is also called conditional value at risk (CVaR), average value at risk (AVaR), and expected tail loss (ETL). Below is Franklin Financial's current Expected Short fall with peer comparisons and related risk metrics.
Current Expected Short fall Value
Franklin Financial registers a Expected Short fall of
-1.97, reflecting its current reading on this measure. This reflects Franklin Financial's positioning relative to its own recent range within Stock.
Expected Shortfall | = | Conditional VAR |
| = | -1.97 | |
Expected Short fall Peers Comparison
The peer group averages -1.47 for Expected Short fall, with Franklin Financial at -1.9678 falling below that level. Readings span -1.638 (Chain Bridge Bancorp) to 0.0 ().
Expected Short fall Relative To Other Indicators
The chart below plots Expected Short fall against Maximum Drawdown for Franklin Financial and its peers. Each point represents one equity — position along the horizontal axis shows Expected Short fall while the vertical axis shows Maximum Drawdown. Equities that cluster in different quadrants carry distinct risk-return profiles. Use the dropdowns to swap in other indicators for either axis.
Compare Franklin Financial to PeersMethodology, Assumptions & Data Sources
Franklin Financial's Expected Short fall currently stands at -1.97. The Expected Short fall for Franklin Financial is produced by transforming raw price history into a standardized measure according to the indicator's defined methodology. Price data is sourced from standardized end-of-day feeds across supported exchanges, normalized for corporate actions. The output reflects the selected calculation window — changing the horizon will produce different readings. This stock metric is provided for analytical reference.
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