Cornerstone Total Return Fund (CRF)

6.181 +0.10  +1.67%  May 25, 11:00PM Go Pro
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Cornerstone Total Return Fund Beta: 0.9521

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CRF Beta Range, Past 5 Years

Minimum 0.6738 Mar 2008
Maximum 2.397 Sep 2007
Average 1.124

About Beta 60 Month

YCharts calculates the 60 month market beta by regressing stock returns less the risk free rate of returns on the market returns less the risk free rate of return (Market returns come from the S&P 500 Total Returns Index (SPXTR), and the risk free rate is the 4 Week Average T-Bill (Monthly). There must be a minimum of 36 months of stock returns for a company to have its beta calculated.

Beta is a measure of the risk of a stock when it is included in a well-diversified portfolio.

In financial theory, the Capital Asset Pricing Model breaks down expected stock returns into two components. The first is the return that would be expected based on covariance with the movements of the market (for most stocks, when the market as a whole goes up, the price of the stock will also go up). The second part is the increase in the price of a stock that is not explained by the market. The first part - covariance with the market - is what Beta captures.

When Beta is positive, the stock price tends to move in the same direction as the market, and the magnitude of Beta tells by how much. If a stock's Beta is greater than 1, that means that when the market index goes up 1%, we expect the stock will go up by more than 1%. On the contrary, if the market goes down by 1%, we expect the stock to go down by more than 1%. Negative Betas, while rare, signify a negative correlation. When the market goes up, we would expect the stock price to go down.

For readers with a background in regression analysis, Beta is the slope of the linear regression shown in the formula below, where Returns are the return on an individual stock or portfolio, Rf is the risk free rate, RMarket is the return on a market portfolio, and e is an error term.
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CRF News

Closed-End Funds: Intriguing Option
Nov 22, 6:00AM TheStreet
maybe $CLM and $CRF can join the $PGP and $PHK party. added to swing short CLM at 10.50. NAV of CLM is ~$7/sh
about 350 days ago by LitheLyricist
$EURUSD 1.40111 just lit UP. Power Rising $TYN $EOI $CRF $KED $DNY $DNP $JRS $DCA $$MFD $SOR $TYY $QQQX Bottome Fishing $OIH $ASA $GML $TUR!
about 474 days ago by gomezaddams1
$CRF falling of the map but low volume http://fsc.bz/9eV #WORDEN
about 532 days ago by AsktheDust
shorted $CLM at 11.20s b/c $CRF was already getting hit earlier, got lucky volume immediately came in to spank it down.
about 753 days ago by LitheLyricist
short $CRF at 10.33. covering if 10.40 offer gets paid. all the high price/NAV CEFs getting spanked when market ticks down
about 754 days ago by LitheLyricist
$CLM and $CRF also getting slammed along w/ other overpriced CEDs
about 843 days ago by LitheLyricist
$CRF finally cut its distribution on Friday and is falling like a stone today. Was v hard to find shares to short. Mkt efficiency = B.S.
about 923 days ago by derekbobbe
$CRF finally getting crushed today. Reminds me of last year when it went from $24.75 / 99% premium to $5.50 / 26% discount in 7 weeks.
about 941 days ago by derekbobbe
$CRF trading at a 90%+ premium to NAV once again. Is this the most over-valued closed end fund of all time or what?
about 943 days ago by derekbobbe
Closed End Fund $CRF continues to defy all logic with a premium of 86%. I predict a steep slide after it goes ex-dividend on 10/13.
about 969 days ago by derekbobbe
Closed End Fund $CRF the most inefficiently over-valued name I've ever seen. Trades at 83% premium, holds $SPX. Can't find inventory. :(
about 970 days ago by derekbobbe

Recent Quotes

Symbol Price Chg Chg % Market Cap
CRF 6.181 +0.10 +1.67%
CRESY 7.79 +0.19 +2.50% 390.75M
CREG 1.11 +0.00 +0.00% 48.32M
CREE 26.11 +0.20 +0.77% 3.031B
CPLP 7.54 +0.03 +0.40% 523.05M
CPLA 31.27 +0.64 +2.09% 425.58M
CPL 23.94 +0.17 +0.72% 11.52B
CPK 42.22 +0.05 +0.12% 404.47M
CPHI 0.3499 -0.00 -0.03% 15.23M
CPHD 38.47 +0.38 +1.00% 2.519B
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