Savara Value At Risk

SVRA Stock  USD 5.25  -0.07  -1.32%   
This technical indicator view for Value At Risk organizes signals for Savara Inc and comparable instruments. Availability can vary by instrument; Equity Screeners offers additional screening access. Savara has a market cap of 1.08 B, ROE of -78.74%. See World Market Map for portfolio-level analysis. This suggests a position in Savara Inc within the allocation view. Also, note that the market value of any company could be closely tied with the direction of predictive economic indicators such as signals in real.
Savara Inc has current Value At Risk of -5.30. Value At Risk (or VAR) is a statistical technique used to measure the level of financial risk of investment instrument over a specific time frame. It is a widely used measure of the risk of loss on a specific investing instrument.

Value At Risk

 = 

ER[a] x N

+

(Z-SCORE x STD x SQRT (N))

 = 
-5.30
ER[a] = Expected return on investing in Savara
STD =   Standard Deviation of Savara
N = Number of points for the period
Z-SCORE = Number of standard deviations above or below the mean

Savara Value At Risk Peers Comparison

Savara Value At Risk Relative To Other Indicators

Savara Inc is rated fourth in value at risk among leading competitors. It is currently under evaluation in maximum drawdown among leading competitors .
Value At Risk is used by risk managers in order to measure and control the level of risk which the firm undertakes. The risk manager job is to ensure that risks are not taken beyond the level at which the firm can absorb the losses of a probable worst outcome. VAR can be defined as the loss level that will not be exceeded with a certain confidence level during a certain period of time.
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