Clairvest Variance
| CVTGF Pink Sheet | | | USD 49.00 0.00 0.00% |
Historical market data for Clairvest Group forms the basis of the Variance indicator shown here. The indicator computation uses normalized market activity data. Clairvest has a market cap of 846.23 M, operating margin of 83.75%, current ratio of 5.16. Allocation context is available in
Trending Equities. Tracking Clairvest Group in a portfolio helps measure its contribution to overall performance. All figures are based on reported data and are informational in nature. Broader economic conditions can influence Clairvest Group's company valuation — related indicators include
signals in census.
Clairvest Group has current Variance of 0. Variance is another measure of security risk that shows the amount of dispersion of equity returns around their mean value. Variance is calculated as the average squared deviations from the mean. Evaluating a set of investment alternatives one can use variance to help determine the volatility when purchasing a specific security. Similar to Standard Deviation, the variance is a measure of how far a set of numbers is spread out around its mean.
Variance | = | SUM(RET DEV)2N |
| = | 0 | |
| SUM | = | Summation notation |
| RET DEV | = | Actual returns deviation over selected period |
| N | = | Number of points for the period |
Variance Peers Comparison
Variance Relative To Other Indicators
Clairvest Group is rated
below average in variance across its competitive set. It is currently under evaluation in maximum drawdown across its competitive set .
Variance is also a measure of stock volatility and can help determine the risk an investor might take on when purchasing a specific security. A relatively big variance indicates that the daily prices or returns are far from the mean and a small variance indicates that they are located around the mean.
Compare Clairvest to Peers