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MEZ
AU
Meridian Energy Ltd 14.178B Utilities wiki y

Stock industry analysis for MEZ (Meridian Energy 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.

MEZ (AU) Meridian Energy Ltd vs g.trustee

Daily share price volatility analysis

  • most of the share price movement is caused by the industry and not the company
  • correlation of stock with industry 87.69%
  • beta of stock with industry 0.99
  • volatility of g.trustee 72.75%
  • volatility of stock (MEZ) 82.26%
  • volatility of industry component: 72.14%
  • volatility of stock specific component: 39.54%
  • 48.06% of the price volatility is due to the stock and not the industry, which is 23.1% of the variance
  • 87.69% of the price volatility is due to the industry not the stock, which is 76.9% of the variance

Monthly price volatility analysis

  • most of the share price movement is caused by the industry and not the company
  • correlation of stock with industry 94.98%
  • beta of stock with industry 0.99
  • volatility of g.trustee 72.52%
  • volatility of stock (MEZ) 75.52%
  • volatility of industry component: 71.73%
  • volatility of stock specific component: 23.62%
  • 31.28% of the price volatility is due to the stock and not the industry, which is 9.79% of the variance
  • 94.98% of the price volatility is due to the industry not the stock, which is 90.21% 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 MEZ, 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

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Coronado Global Resources Inc CRN AU 34.2971
Wam Leaders Ltd WLE AU 49.2413
Class Limited CL1 AU 47.2987
MFF Capital Investments Ltd MFF AU 25.0998
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Regal Investment Fund RF1 AU 30.8641
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BKI Investment Company Ltd BKI AU 23.8043
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Templeton Global Growth Fund TGG AU 38.8683
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WAM Microcap Ltd WMI AU 41.1902
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Kina Securities Ltd KSL AU 53.5652
Resimac Group Ltd RMC AU 56.5608
Bailador Technology Invest Ltd BTI AU 22.1524
Viva Leisure Ltd VVA AU 26.2641
Beacon Lighting Group Ltd BLX AU Consumer Cyclical 46.1741 743M
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AMCIL Ltd AMH AU Financial Services 32.2217 336M
Mirrabooka Investments Ltd MIR AU Financial Services 25.398 633M
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Volpara Health Technologies Lt VHT AU 28.5545
Vita Group VTG AU 42.3405
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Peet Ltd PPC AU 4.42767 wiki
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Westoz Investment Company Limi WIC AU 37.3027
Prospa Group Ltd PGL AU Financial Services 34.1595 73M
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Pacific Smiles Group Ltd PSQ AU 26.562
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SCALARE PARTNERS HOLDINGS LIMI SCP AU 20.8189
Phoslock Environmental Technologies Limited PET AU Industrials 26.9674 16M
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