Ranpak Holdings Semi Variance

PACK Stock  USD 3.58  0.08  2.29%   
The Semi Variance indicator for Ranpak Holdings Corp is derived from observed market data. The calculation draws on time-series market data across available periods. Ranpak Holdings has a market cap of 277.04 M, operating margin of 7.06%, current ratio of 3.2. Review Your Equity Center for broader portfolio context. Ranpak Holdings Corp can be included in a portfolio to evaluate diversification impact. All figures are based on reported data and are informational in nature. Broader economic conditions can influence Ranpak Holdings Corp's company valuation — related indicators include signals in discontinued.
Ranpak Holdings Corp has current Semi Variance of 0. Semi-variance provides a good measure of downside volatility for equity or a portfolio. It is similar to variance, but it only looks at periods where the returns are less than the target or average level.

Semi Variance

 = 

SUM(RET DEV)2

N(ZERO)

 = 
0
SUM = Summation notation
RET DEV = Actual return deviation over selected period
N(ZERO) = Number of points with returns less than zero

Semi Variance Peers Comparison

Semi Variance Relative To Other Indicators

Ranpak Holdings Corp is rated below average for semi variance within its peer group. It is currently under evaluation for maximum drawdown within its peer group .
Semi-variance is the square of semi-deviation. Semi-variance is calculated by averaging the deviations of returns that have a result that is less than the mean. Compare Ranpak Holdings to Peers

Other Technical Indicators