Ranked against 76 S&P 500 Financials peers, as of Sep 15, 2026.
Price (log)
Risk Score
Below Average Risk — for individual stocks, this band has historically returned 16.8% over the next year (74% of the time positive), across 29,300 observations. Forward-return windows overlap, so treat these medians as indicative, not precise.
| Risk Score | Samples | Median 90d | Median 365d | Win 365d |
|---|---|---|---|---|
Low Risk | 667 | 4.6% | 11.1% | 73% |
Below Average Risk | 653 | 5.3% | 18.8% | 84% |
Average Risk | 533 | 1.1% | 14.3% | 80% |
Elevated Risk | 618 | 7.1% | 33.7% | 89% |
High Risk | 219 | 6.4% | 20.6% | 95% |
Test how buying this asset below a chosen risk score would have played out.
Readings below score 20 → 11.1% median 365-day return · 73% positive · 667 entries
Green bands mark when the score was below your threshold. Overlapping forward windows and a survivor-only universe — past performance isn't a guarantee.
† EV/EBITDA and FCF Yield are pinned to the last data pull and do not update with today's price, unlike Forward P/E, P/S and P/B, which recompute against every close.