Brightspire Capital Stock Beta

BRSP Stock  USD 6.34  0.02  0.31%   
Brightspire Capital fundamentals help investors to digest information that contributes to Brightspire Capital's financial success or failures. It also enables traders to predict the movement of Brightspire Stock. The fundamental analysis module provides a way to measure Brightspire Capital's intrinsic value by examining its available economic and financial indicators, including the cash flow records, the balance sheet account changes, the income statement patterns, and various microeconomic indicators and financial ratios related to Brightspire Capital stock.
  
This module does not cover all equities due to inconsistencies in global equity categorizations. Continue to Equity Screeners to view more equity screening tools.

Brightspire Capital Company Beta Analysis

Brightspire Capital's Beta is one of the most important measures of equity market volatility. Beta can be thought of as asset elasticity or sensitivity to market. In other words, it is a number that shows the relationship of an equity instrument to the financial market in which this instrument is traded. For example, if Beta of equity is 2, it is expected to significantly outperform market when the market is going up and significantly underperform when the market is going down. Similarly, Beta of 1 indicates that an asset and market will generate similar returns over time.

Beta

 = 

Covariance

Variance

More About Beta | All Equity Analysis

Current Brightspire Capital Beta

    
  1.93  
Most of Brightspire Capital's fundamental indicators, such as Beta, are part of a valuation analysis module that helps investors searching for stocks that are currently trading at higher or lower prices than their real value. If the real value is higher than the market price, Brightspire Capital is considered to be undervalued, and we provide a buy recommendation. Otherwise, we render a sell signal.

Brightspire Beta Driver Correlations

Understanding the fundamental principles of building solid financial models for Brightspire Capital is extremely important. It helps to project a fair market value of Brightspire Stock properly, considering its historical fundamentals such as Beta. Since Brightspire Capital's main accounts across its financial reports are all linked and dependent on each other, it is essential to analyze all possible correlations between related accounts. However, instead of reviewing all of Brightspire Capital's historical financial statements, investors can examine the correlated drivers to determine its overall health. This can be effectively done using a conventional correlation matrix of Brightspire Capital's interrelated accounts and indicators.
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In a nutshell, Beta is a measure of individual stock risk relative to the overall volatility of the stock market. and is calculated based on very sound finance theory - Capital Assets Pricing Model (CAPM).However, since Beta is calculated based on historical price movements it may not predict how a firm's stock is going to perform in the future.
Competition

In accordance with the recently published financial statements, Brightspire Capital has a Beta of 1.928. This is 167.78% higher than that of the Real Estate Management & Development sector and significantly higher than that of the Real Estate industry. The beta for all United States stocks is notably lower than that of the firm.

Brightspire Beta Peer Comparison

Stock peer comparison is one of the most widely used and accepted methods of equity analyses. It analyses Brightspire Capital's direct or indirect competition against its Beta to detect undervalued stocks with similar characteristics or determine the stocks which would be a good addition to a portfolio. Peer analysis of Brightspire Capital could also be used in its relative valuation, which is a method of valuing Brightspire Capital by comparing valuation metrics of similar companies.
Brightspire Capital is currently under evaluation in beta category among its peers.

Brightspire Capital ESG Sustainability

Some studies have found that companies with high sustainability scores are getting higher valuations than competitors with lower social-engagement activities. While most ESG disclosures are voluntary and do not directly affect the long term financial condition, Brightspire Capital's sustainability indicators can be used to identify proper investment strategies using environmental, social, and governance scores that are crucial to Brightspire Capital's managers, analysts, and investors.
Environmental
Governance
Social

Brightspire Capital Institutional Holders

Institutional Holdings refers to the ownership stake in Brightspire Capital that is held by large financial organizations, pension funds or endowments. Institutions may purchase large blocks of Brightspire Capital's outstanding shares and can exert considerable influence upon its management. Institutional holders may also work to push the share price higher once they own the stock. Extensive social media coverage, TV shows, articles in high-profile magazines, and presentations at investor conferences help move the stock higher, increasing Brightspire Capital's value.
Shares
Federated Hermes Inc2024-09-30
1.6 M
Charles Schwab Investment Management Inc2024-09-30
1.4 M
Northern Trust Corp2024-09-30
1.2 M
Van Eck Associates Corporation2024-06-30
1.1 M
Hotchkis & Wiley Capital Management Llc2024-09-30
M
Balyasny Asset Management Llc2024-09-30
968.4 K
Greenland Capital Management Lp2024-09-30
960 K
Norges Bank2024-06-30
916.7 K
Alpine Partners Vi, Llc2024-09-30
916.5 K
Vanguard Group Inc2024-09-30
13 M
Blackrock Inc2024-06-30
11.6 M
As the market goes up, the company is expected to outperform it. However, if the market returns are negative, Brightspire Capital will likely underperform.

Brightspire Fundamentals

About Brightspire Capital Fundamental Analysis

The Macroaxis Fundamental Analysis modules help investors analyze Brightspire Capital's financials across various querterly and yearly statements, indicators and fundamental ratios. We help investors to determine the real value of Brightspire Capital using virtually all public information available. We use both quantitative as well as qualitative analysis to arrive at the intrinsic value of Brightspire Capital based on its fundamental data. In general, a quantitative approach, as applied to this company, focuses on analyzing financial statements comparatively, whereas a qaualitative method uses data that is important to a company's growth but cannot be measured and presented in a numerical way.
Please read more on our fundamental analysis page.

Pair Trading with Brightspire Capital

One of the main advantages of trading using pair correlations is that every trade hedges away some risk. Because there are two separate transactions required, even if Brightspire Capital position performs unexpectedly, the other equity can make up some of the losses. Pair trading also minimizes risk from directional movements in the market. For example, if an entire industry or sector drops because of unexpected headlines, the short position in Brightspire Capital will appreciate offsetting losses from the drop in the long position's value.

Moving together with Brightspire Stock

  0.73ZG Zillow GroupPairCorr

Moving against Brightspire Stock

  0.85O Realty IncomePairCorr
  0.66MDJH MDJMPairCorr
  0.65BHM Bluerock Homes TrustPairCorr
  0.46FR First Industrial RealtyPairCorr
  0.38GIPR Generationome PropertiesPairCorr
The ability to find closely correlated positions to Brightspire Capital could be a great tool in your tax-loss harvesting strategies, allowing investors a quick way to find a similar-enough asset to replace Brightspire Capital when you sell it. If you don't do this, your portfolio allocation will be skewed against your target asset allocation. So, investors can't just sell and buy back Brightspire Capital - that would be a violation of the tax code under the "wash sale" rule, and this is why you need to find a similar enough asset and use the proceeds from selling Brightspire Capital to buy it.
The correlation of Brightspire Capital is a statistical measure of how it moves in relation to other instruments. This measure is expressed in what is known as the correlation coefficient, which ranges between -1 and +1. A perfect positive correlation (i.e., a correlation coefficient of +1) implies that as Brightspire Capital moves, either up or down, the other security will move in the same direction. Alternatively, perfect negative correlation means that if Brightspire Capital moves in either direction, the perfectly negatively correlated security will move in the opposite direction. If the correlation is 0, the equities are not correlated; they are entirely random. A correlation greater than 0.8 is generally described as strong, whereas a correlation less than 0.5 is generally considered weak.
Correlation analysis and pair trading evaluation for Brightspire Capital can also be used as hedging techniques within a particular sector or industry or even over random equities to generate a better risk-adjusted return on your portfolios.
Pair CorrelationCorrelation Matching

Additional Tools for Brightspire Stock Analysis

When running Brightspire Capital's price analysis, check to measure Brightspire Capital's market volatility, profitability, liquidity, solvency, efficiency, growth potential, financial leverage, and other vital indicators. We have many different tools that can be utilized to determine how healthy Brightspire Capital is operating at the current time. Most of Brightspire Capital's value examination focuses on studying past and present price action to predict the probability of Brightspire Capital's future price movements. You can analyze the entity against its peers and the financial market as a whole to determine factors that move Brightspire Capital's price. Additionally, you may evaluate how the addition of Brightspire Capital to your portfolios can decrease your overall portfolio volatility.