Verizon Communications Market Risk Adjusted Performance

0Q1S Stock   44.45  0.30  0.67%   
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Verizon Communications has current Market Risk Adjusted Performance of 15.9.

MRAP

 = 

ER[a] + (1/BETA - 1)

X

ER[a] - RFR)

 = 
15.9
ER[a] = Expected return on investing in Verizon Communications
RFR = Risk Free Rate of return. Typically T-Bill Rate
BETA = Beta of the asset with market or selected benchmark.

Verizon Communications Market Risk Adjusted Performance Peers Comparison

Verizon Market Risk Adjusted Performance Relative To Other Indicators

Verizon Communications is rated second in market risk adjusted performance category among its peers. It is currently under evaluation in maximum drawdown category among its peers reporting about  0.50  of Maximum Drawdown per Market Risk Adjusted Performance. The ratio of Market Risk Adjusted Performance to Maximum Drawdown for Verizon Communications is roughly  2.01 
Compare Verizon Communications to Peers

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