ASML Holding Expected Short fall
| ASML Stock | | | USD 1,330 -64.39 -4.62% |
The Expected Short fall indicator for ASML Holding is constructed from normalized market data. The depth of trading history affects the precision of the indicator. ASML Holding has a market cap of 549.49 B, operating margin of 35.3%, current ratio of 1.26. Allocation context is available in
Trending Equities. ASML Holding NV can be added to a watchlist or portfolio for position tracking. Performance attribution breaks down contribution by individual holding. Broader economic conditions can influence ASML Holding NV's company valuation — related indicators include
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ASML Holding NV has current Expected Short fall of
-2.23. 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).
Expected Shortfall | = | Conditional VAR |
| = | -2.23 | |
Expected Short fall Peers Comparison
Expected Short fall Relative To Other Indicators
ASML Holding NV is rated
below average for expected short fall within its peer group. It is currently under evaluation for maximum drawdown within its peer group .
ES evaluates the value (or risk) of an investment in a conservative way, focusing on the less profitable outcomes. For high values of it ignores the most profitable but unlikely possibilities, for small values of it focuses on the worst losses. On the other hand, unlike the discounted maximum loss even for lower values of expected shortfall does not consider only the single most catastrophic outcome. Expected shortfall is a coherent, and moreover a spectral, measure of financial portfolio risk.
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