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HSBC Portfolios - World Selection 4 AMFLXHKD
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Risk

Volatility measures

3 year Return Category
Alpha -0.79
Beta 1
Mean annual return 1.13
R-squared 96
Standard deviation 9.33
Sharpe ratio 0.93
Treynor ratio 9.76
5 year Return Category
Alpha -1.15
Beta 1
Mean annual return 0.69
R-squared 95
Standard deviation 11.20
Sharpe ratio 0.45
Treynor ratio 5.01
10 year Return Category
Alpha
Beta
Mean annual return
R-squared
Standard deviation
Sharpe ratio
Treynor ratio

Valuation metrics

Metrics Return Category
Price/Earnings (P/E) 0.05
Price/Book (P/B) 0.35
Price/Sales (P/S) 0.43
Price/Cashflow (P/CF) 0.07
Median market vapitalization 148.93K
3-year earnings growth 12.14
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