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WSP
AU
Whispir Ltd

Stock industry analysis for WSP (Whispir Ltd)

Compares a stock with a basket of similar stocks. This is useful to determine why a share price moves. In some cases it is because the company has great leadership and brilliant products in which case the company news becomes important. In other cases it is because they are in a good industry in which case the industry news is most important.

WSP (AU) Whispir Ltd vs g.manju

Daily share price volatility analysis

  • the company and the industry contribute to the movement of the share price
  • correlation of stock with industry 72.97%
  • beta of stock with industry 1.12
  • volatility of g.manju 76.97%
  • volatility of stock (WSP) 117.82%
  • volatility of industry component: 85.97%
  • volatility of stock specific component: 80.56%
  • 68.38% of the price volatility is due to the stock and not the industry, which is 46.76% of the variance
  • 72.97% of the price volatility is due to the industry not the stock, which is 53.24% of the variance

Monthly price volatility analysis

  • the company and the industry contribute to the movement of the share price
  • correlation of stock with industry 75.04%
  • beta of stock with industry 1.13
  • volatility of g.manju 77.12%
  • volatility of stock (WSP) 116.1%
  • volatility of industry component: 87.13%
  • volatility of stock specific component: 76.74%
  • 66.09% of the price volatility is due to the stock and not the industry, which is 43.68% of the variance
  • 75.04% of the price volatility is due to the industry not the stock, which is 56.32% of the variance

Stock component chart

This chart shows the stock and compares it with an index made up of similar stocks. This helps identify whether it is the company or the industry which is driving the share price.

Red and green candlesticks show WSP, the blue line is the comparison

stock specific component

The chart shows in blue is just the company component of the price after removing the industry component. This is helpful to see if there is buying or selling in the specific stock that may last a few days. The component chart is designed to have the same final price as the company for easy comparison. The green line is a 5 day moving average

symbols in g.manju

Nippon Active Value Fund Plc NAVF LSE 31.0059
Zhejiang New Century Hotel Ma 1158 HK 30.6149
SHENG SIONG GROUP LTD OV8 SG 16.6366 wiki
JF Technology BHD 0146 KLSE 27.2581
Nitro Software Ltd NTO AU 20.6766
Golden Resources Development I 0677 HK 8.07857
Pushpay Holdings Ltd PPH AU 17.0597 wiki
Splitit Payments Ltd SPT AU 21.0786
CoastalSouth Bancshares Inc COSO US Financial Services 31.6105 153M
Whispir Ltd WSP AU 22.3014
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