Beta společnosti Mitsubishi UFJ

Jaká je hodnota metriky Beta společnosti Mitsubishi UFJ?

Hodnota metriky Beta společnosti Mitsubishi UFJ Financial Group, Inc. je 0.92

Jaká je definice metriky Beta?

BETA koeficient vyjadřuje, zda je akcie více či méně volatilní než trh jako celek. Beta menší než 1 znamená, že akcie jsou méně volatilní než trh, zatímco beta větší než 1 znamená, že akcie jsou volatilnější. Volatilita se měří pomocí fluktuace ceny akcie.

Beta is a measure of the risk arising from exposure to general market movements as opposed to idiosyncratic factors. The market portfolio of all investable assets has a beta of exactly 1. A beta below 1 can indicate either an investment with lower volatility than the market, or a volatile investment whose price movements are not highly correlated with the market. A beta greater than one generally means that the asset both is volatile and tends to move up and down with the market. Beta is important because it measures the risk of an investment that cannot be reduced by diversification. It does not measure the risk of an investment held on a stand-alone basis, but the amount of risk the investment adds to an already-diversified portfolio. In the capital asset pricing model, beta risk is the only kind of risk for which investors should receive an expected return higher than the risk-free rate of interest.

Čemu se věnuje společnost Mitsubishi UFJ?

Mitsubishi UFJ Financial Group, Inc. is a Japanese bank holding and financial services company headquartered in Chiyoda, Tokyo, Japan. It is Japans largest financial group and the worlds second largest bank holding company holding around US$1.8 trillion in deposits as of March 2011.

Firmy s metrikou beta podobnou společnosti Mitsubishi UFJ