TEV Stock | | | EUR 21.20 0.70 3.41% |
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Teva Pharmaceutical Industries has current Downside Variance of 3.62. Downside Variance (or DV) is measured by target semi-variance and is termed downside volatility. It is expressed in percentages and therefore allows for rankings in the same way as variance. One way to view downside volatility is the annualized variance of returns below the target.
Downside Variance | = | SUM(RET DEV)2N(ER) |
| = | 3.62 | |
SUM | = | Summation notation |
RET DEV | = | Actual returns deviation over selected period |
N(ER) | = | Number of points with returns less than expected return for the period |
Teva Pharmaceutical Downside Variance Peers Comparison
Teva Downside Variance Relative To Other Indicators
Teva Pharmaceutical Industries is rated
second in downside variance category among its peers. It is currently regarded as top stock in kurtosis category among its peers making up about
8.73 of Kurtosis per Downside Variance. The ratio of Kurtosis to Downside Variance for Teva Pharmaceutical Industries is roughly
8.73 Downside Variance is the probability-weighted squared below-target returns. The squaring of the below-target returns has the effect of penalizing failures at an exponential rate. This is consistent with observations made on the behavior of individual decision-making under.
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