MS&AD Insurance Group Holdings Inc (MSADY)
18.39
+0.19
(+1.04%)
USD |
OTCM |
May 03, 16:00
MS&AD Insurance Group Holdings Max Drawdown (5Y): 30.21% for April 30, 2024
Max Drawdown (5Y) Chart
Historical Max Drawdown (5Y) Data
Date | Value |
---|---|
April 30, 2024 | 30.21% |
March 31, 2024 | 30.21% |
February 29, 2024 | 30.21% |
January 31, 2024 | 30.21% |
December 31, 2023 | 30.21% |
November 30, 2023 | 30.21% |
October 31, 2023 | 30.21% |
September 30, 2023 | 30.21% |
August 31, 2023 | 30.21% |
July 31, 2023 | 30.21% |
June 30, 2023 | 30.21% |
May 31, 2023 | 30.21% |
April 30, 2023 | 30.21% |
March 31, 2023 | 30.21% |
February 28, 2023 | 30.21% |
January 31, 2023 | 30.21% |
December 31, 2022 | 30.21% |
November 30, 2022 | 30.21% |
October 31, 2022 | 30.21% |
September 30, 2022 | 30.21% |
August 31, 2022 | 30.21% |
July 31, 2022 | 30.21% |
June 30, 2022 | 30.21% |
May 31, 2022 | 30.21% |
April 30, 2022 | 30.21% |
Date | Value |
---|---|
March 31, 2022 | 30.21% |
February 28, 2022 | 30.21% |
January 31, 2022 | 30.21% |
December 31, 2021 | 30.21% |
November 30, 2021 | 30.21% |
October 31, 2021 | 30.21% |
September 30, 2021 | 30.21% |
August 31, 2021 | 30.21% |
July 31, 2021 | 30.21% |
June 30, 2021 | 30.21% |
May 31, 2021 | 30.21% |
April 30, 2021 | 30.21% |
March 31, 2021 | 30.21% |
February 28, 2021 | 30.21% |
January 31, 2021 | 30.21% |
December 31, 2020 | 30.21% |
November 30, 2020 | 33.65% |
October 31, 2020 | 33.65% |
September 30, 2020 | 33.65% |
August 31, 2020 | 33.65% |
July 31, 2020 | 33.65% |
June 30, 2020 | 33.65% |
May 31, 2020 | 33.65% |
April 30, 2020 | 33.65% |
March 31, 2020 | 33.65% |
Max Drawdown Definition
Max drawdown is an indicator of the risk of a portfolio chosen based on a certain strategy. It measures the largest single drop from peak to bottom in the value of a portfolio before a new peak is achieved.
Max Drawdown (5Y) Range, Past 5 Years
30.21%
Minimum
Dec 2020
33.65%
Maximum
May 2019
31.30%
Average
30.21%
Median
Dec 2020
Max Drawdown (5Y) Benchmarks
ORIX Corp | 42.52% |
Mizuho Financial Group Inc | 46.77% |
Mitsubishi UFJ Financial Group Inc | 54.49% |
Nomura Holdings Inc | 52.85% |
Sumitomo Mitsui Financial Group Inc | 47.68% |
Max Drawdown (5Y) Related Metrics
Alpha (5Y) | 9.671 |
Beta (5Y) | 0.4219 |
Annualized Standard Deviation of Monthly Returns (5Y Lookback) | 22.87% |
Historical Sharpe Ratio (5Y) | 0.6285 |
Historical Sortino (5Y) | 1.007 |
Monthly Value at Risk (VaR) 5% (5Y Lookback) | 8.48% |