Synonyms that are in the dictionary are marked in green. Synonyms that are not in the dictionary are marked in red.
Antonyms that are in the dictionary are marked in green. Antonyms that are not in the dictionary are marked in red.
AG Mortgage Investment Trust has a beta of 1.89, suggesting that its stock price is 89% more volatile than the S&P 500. Comparatively, Hammerson has a beta of 1.83, suggesting that its stock price is 83% more volatile than the S&P 500.
ATRenew has a beta of -1.23, suggesting that its stock price is 223% less volatile than the S&P 500. Comparatively, ATRenew’s competitors have a beta of 0.87, suggesting that their average stock price is 13% less volatile than the S&P 500.
Source: https://www.americanbankingnews.com/2023/04/02/comparing-atrenew-rere-and-its-rivals.html
Cantaloupe has a beta of 1.78, indicating that its share price is 78% more volatile than the S&P 500. Comparatively, NCR Voyix has a beta of 1.68, indicating that its share price is 68% more volatile than the S&P 500.
Source: https://www.etfdailynews.com/2023/11/10/cantaloupe-nasdaqctlp-ncr-voyix-nysevyx-head-to-head-survey/
Catalyst Bancorp has a beta of -0.02, meaning that its stock price is 102% less volatile than the S&P 500. Comparatively, Provident Financial has a beta of 0.48, meaning that its stock price is 52% less volatile than the S&P 500.
ClearPoint Neuro has a beta of 1.19, indicating that its stock price is 19% more volatile than the S&P 500. Comparatively, Titan Medical has a beta of 2.14, indicating that its stock price is 114% more volatile than the S&P 500.
Comparatively, 0.3% of Akanda shares are held by institutional investors.
Comparatively, 10.7% of 4D Molecular Therapeutics shares are held by insiders.
Comparatively, 12.8% of Farmers & Merchants Bank of Long Beach shares are held by company insiders.
Comparatively, 13.7% of ACV Auctions shares are owned by insiders.
Source: https://www.etfdailynews.com/2023/11/04/contrasting-acv-auctions-nasdaqacva-uxin-nasdaquxin/
Comparatively, 17.0% of Edify Acquisition shares are held by institutional investors.
Comparatively, 17.5% of Bombardier shares are held by institutional investors.
Comparatively, 20.1% of shares of all “Advertising” companies are owned by insiders.
Source: https://www.etfdailynews.com/2023/11/25/critical-survey-lendway-ldwy-its-competitors/
Comparatively, 24.6% of H&R Real Estate Investment Trust shares are owned by institutional investors.
Comparatively, 37.9% of Sadot Group shares are owned by institutional investors.
Source: https://www.etfdailynews.com/2023/10/28/analyzing-shake-shack-nyseshak-and-sadot-group-nasdaqsdot/
Comparatively, 3.7% of CNX Resources shares are owned by insiders.
Comparatively, 40.5% of DIRTT Environmental Solutions shares are owned by insiders.
Comparatively, 46.8% of shares of all “Catalog & mail – order houses” companies are held by institutional investors.
Comparatively, 50.9% of shares of all “Health services” companies are owned by institutional investors.
Source: https://www.dailypolitical.com/2023/02/06/analyzing-genedx-wgs-and-its-rivals.html
Comparatively, 53.6% of shares of all “Semiconductors & related devices” companies are owned by institutional investors.
Comparatively, 66.2% of Eneti shares are held by institutional investors.