Kerur Holdings (Israel) Alpha and Beta Analysis

KRUR Stock  ILS 7,402  56.00  0.75%   
This module allows you to check different measures of market premium (i.e., alpha and beta) for all equities such as Kerur Holdings. It also helps investors analyze the systematic and unsystematic risks associated with investing in Kerur Holdings over a specified time horizon. Remember, high Kerur Holdings' alpha is almost always a sign of good performance; however, a high beta will depend on investors' risk tolerance level and may signal increased volatility and potential future overvaluation. Key technical indicators related to Kerur Holdings' market risk premium analysis include:
Beta
0.19
Alpha
0.24
Risk
1.71
Sharpe Ratio
0.0003
Expected Return
0.0005
Please note that although Kerur Holdings alpha is a measure of relative return and represented here as a single number, it indicates the percentage above or below your selected benchmark (i.e., Dow Jones Industrial index.) So in this particular case, Kerur Holdings did 0.24  better than the index. Remember, a high alpha is always good. Beta, on the other hand, measures the volatility (or risk) of an investment. It is an indication of Kerur Holdings stock's relative risk over its benchmark. Kerur Holdings has a beta of 0.19  . As returns on the market increase, Kerur Holdings' returns are expected to increase less than the market. However, during the bear market, the loss of holding Kerur Holdings is expected to be smaller as well. .
Alpha is a measure of relative performance on a risk-adjusted basis, while beta measures volatility against the benchmark. The goal is to know if an investor is being compensated for the volatility risk taken. The return on investment might be better than its reference but still not compensate for the assumption of the risk.
  
Check out Kerur Holdings Backtesting, Kerur Holdings Valuation, Kerur Holdings Correlation, Kerur Holdings Hype Analysis, Kerur Holdings Volatility, Kerur Holdings History and analyze Kerur Holdings Performance.

Kerur Holdings Market Premiums

Investors always prefer to have the highest possible return on investment, coupled with the lowest possible volatility. Kerur Holdings market risk premium is the additional return an investor will receive from holding Kerur Holdings long position in a well-diversified portfolio. The market premium is part of the Capital Asset Pricing Model (CAPM), which most analysts and investors use to calculate the acceptable rate of return on investment in Kerur Holdings. At the center of the CAPM is the concept of risk and reward, which is usually communicated by investors using alpha and beta measures. Alpha and beta are two of the key measurements used to evaluate Kerur Holdings' performance over market.
α0.24   β0.19

Kerur Holdings expected buy-and-hold returns

Although buy-and-hold investment strategy may not appeal to all investors, it may be used as a good measure of Kerur Holdings' Buy-and-hold return. Our buy-and-hold chart shows how Kerur Holdings performed over your current time horizon against a typical interest-earning bank account and a selected benchmark.

Kerur Holdings Market Price Analysis

Market price analysis indicators help investors to evaluate how Kerur Holdings stock reacts to ongoing and evolving market conditions. The investors can use it to make informed decisions about market timing, and determine when trading Kerur Holdings shares will generate the highest return on investment. By understating and applying Kerur Holdings stock market price indicators, traders can identify Kerur Holdings position entry and exit signals to maximize returns.

Kerur Holdings Return and Market Media

The median price of Kerur Holdings for the period between Mon, Dec 16, 2024 and Sun, Mar 16, 2025 is 7694.0 with a coefficient of variation of 7.23. The daily time series for the period is distributed with a sample standard deviation of 565.42, arithmetic mean of 7815.62, and mean deviation of 458.27. The Stock did not receive any noticable media coverage during the period.
 Price Growth (%)  
       Timeline  

About Kerur Holdings Beta and Alpha

For many years both, Alpha and Beta indicators are used by professional money managers as critical performance measurement tools across virtually all financial instruments including Kerur or other stocks. Alpha measures the amount that position in Kerur Holdings has returned in comparison to a selected market index or another relevant benchmark. In other words, Alpha is the excess return on an investment relative to the performance of your selected benchmark. Beta, on the other hand, measures the relative risk of your investment.
Some investors attempt to determine whether the market's mood is bullish or bearish by monitoring changes in market sentiment. Unlike more traditional methods such as technical analysis, investor sentiment usually refers to the aggregate attitude towards Kerur Holdings in the overall investment community. So, suppose investors can accurately measure the market's sentiment. In that case, they can use it for their benefit. For example, some tools to gauge market sentiment could be utilized using contrarian indexes, Kerur Holdings' short interest history, or implied volatility extrapolated from Kerur Holdings options trading.

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Other Information on Investing in Kerur Stock

Kerur Holdings financial ratios help investors to determine whether Kerur Stock is cheap or expensive when compared to a particular measure, such as profits or enterprise value. In other words, they help investors to determine the cost of investment in Kerur with respect to the benefits of owning Kerur Holdings security.