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0
assets out of a possible
0
(€65,100 bn capitalization at 03/31/2024).
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ADAM Inform®: the common sense of the people
of the earth at the service of your stock market information...
DISCLAIMER: the data below are based on public data and do not constitute investment advice. Numerical data and pictures include March 2024 -> week 13.
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Asset class
Clear
C1_Monetary
[
0
]
C2_Real_Estate
[
0
]
C3_Bonds
[
0
]
C4_Shares
[
0
]
C5_Other
[
0
]
C6_Portfolio
[
0
]
Geographical zone
Clear
1_FRANCE
[
0
]
2_EURO
[
0
]
3_EUROPE
[
0
]
4_NATO
[
0
]
5_WORLD
[
0
]
Asset type
Clear
ASX200
[
0
]
Bonds
[
0
]
ETF
[
0
]
EUROST_600
[
0
]
Farmland
[
0
]
Funds
[
0
]
HangSeng
[
0
]
High_Yield
[
0
]
Index
[
0
]
MSCI_India
[
0
]
MSCI_Korea
[
0
]
Nikkei
[
0
]
PEE_SG
[
0
]
Physical_Real_Estate
[
0
]
SP500
[
0
]
Shares_RoW
[
0
]
TWSE
[
0
]
Activity sector
Clear
Communication
[
0
]
Consumer_Discretionary
[
0
]
Consumer_Staples
[
0
]
Energy
[
0
]
Financials
[
0
]
Health_Care
[
0
]
Industrials
[
0
]
Info_Technology
[
0
]
Materials
[
0
]
No_Sector
[
0
]
Quasi_money
[
0
]
Real_Estate
[
0
]
Utilities
[
0
]
ADAM score (9 à 16)
Clear
ADAM score
Mean score < 9,5
Score between 9.5 and 10.5
Score between 10.5 and 11.5
Score between 11.5 and 12.5
Score between 12.5 and 13.5
Score between 13.5 and 14.5
Score between 14.5 and 15.5
Mean score > 15,5
LT return/LT volat (Sharpe)
Clear
0
0
Growth stability
Clear
0
0
Current price level
Clear
0
0
ESG score
Clear
0
0
LT return (6_10A) %
Clear
0
0
LT recurring income %
Clear
0
0
LT return vs index %
Clear
0
0
LT volatility (6_10A) %
Clear
0
0
% of 1Y positive return
Clear
0
0
% max. drop in 1 week
Clear
0
0
Price-to-book ratio
Clear
0
10
Price-to -Earnings ratio
Clear
0
50
Chowder 5A : div+div slope
Clear
0
10
Bollinger 20 weeks
Clear
0
10
Filters :
Criteria
Sort by
Name (A/Z)
Name (Z/A)
Asc. return
Desc. return
Asc. volat.
Desc. volat.
Asc. ADAM
Desc. ADAM
Desc. ESG
Sopra Steria Group
LT return in %:
11.0
ADAM score:
10
LT recurring return in %:
3.7
LT volatility in %:
18.1
ESG score out of 20:
0.0
Activity sector:
Info_Technology
Week of data end:
2024W13
ISIN code:
FR0000050809
EUROST_600
63.0
14.5
3.7
17.9
15.90
Info_Technology
EUR
0.80
6.2
2.40
43.5
0.60
25.10
1_FRANCE
C4_Shares
0.0
CREDIT AGRICOLE SA
LT return in %:
2.0
ADAM score:
9
LT recurring return in %:
4.0
LT volatility in %:
20.2
ESG score out of 20:
7.0
Activity sector:
Financials
Week of data end:
2024W13
ISIN code:
FR0000045072
EUROST_600
56.0
11.1
4.0
4.8
18.60
Financials
EUR
1.50
-5.4
0.60
29.9
0.10
7.10
1_FRANCE
C4_Shares
7.0
Bollore SA
LT return in %:
14.7
ADAM score:
11
LT recurring return in %:
2.3
LT volatility in %:
16.6
ESG score out of 20:
15.0
Activity sector:
Communication
Week of data end:
2024W13
ISIN code:
FR0000039299
EUROST_600
68.1
9.6
2.3
4.5
10.20
Communication
EUR
1.00
12.7
0.70
30.7
0.90
153.90
1_FRANCE
C4_Shares
15.0
Nordea Bank Abp
LT return in %:
5.8
ADAM score:
11
LT recurring return in %:
4.7
LT volatility in %:
10.0
ESG score out of 20:
0.0
Activity sector:
Financials
Week of data end:
2024W13
ISIN code:
FI4000297767
EUROST_600
62.8
18.8
4.7
0.0
11.90
Financials
EUR
-1.40
-0.9
1.20
30.2
0.60
7.60
2_EURO
C4_Shares
0.0
Metso Oyj
LT return in %:
0.3
ADAM score:
9
LT recurring return in %:
1.5
LT volatility in %:
20.6
ESG score out of 20:
0.0
Activity sector:
Industrials
Week of data end:
2024W13
ISIN code:
FI0009014575
EUROST_600
54.7
8.9
1.5
5.7
0.00
Industrials
EUR
2.50
-5.2
3.50
40.4
0.00
16.90
2_EURO
C4_Shares
0.0
Orion Oyj
LT return in %:
10.9
ADAM score:
10
LT recurring return in %:
4.7
LT volatility in %:
11.0
ESG score out of 20:
9.0
Activity sector:
Health_Care
Week of data end:
2024W13
ISIN code:
FI0009014377
EUROST_600
68.1
3.8
4.7
19.6
0.00
Health_Care
EUR
-1.50
4.5
5.50
32.0
1.00
22.50
2_EURO
C4_Shares
9.0
Kone Oyj
LT return in %:
15.9
ADAM score:
11
LT recurring return in %:
5.5
LT volatility in %:
16.6
ESG score out of 20:
11.0
Activity sector:
Industrials
Week of data end:
2024W13
ISIN code:
FI0009013403
EUROST_600
78.3
0.0
5.5
12.4
0.00
Industrials
EUR
-0.40
8.5
8.10
22.7
1.00
24.10
2_EURO
C4_Shares
11.0
Neste Oyj
LT return in %:
22.5
ADAM score:
11
LT recurring return in %:
5.3
LT volatility in %:
63.8
ESG score out of 20:
10.0
Activity sector:
Energy
Week of data end:
2024W13
ISIN code:
FI0009013296
EUROST_600
69.8
0.0
5.3
47.8
0.00
Energy
EUR
-1.40
16.3
2.30
28.4
0.40
13.40
2_EURO
C4_Shares
10.0
Elisa Oyj
LT return in %:
13.1
ADAM score:
11
LT recurring return in %:
6.9
LT volatility in %:
16.0
ESG score out of 20:
11.0
Activity sector:
Communication
Week of data end:
2024W13
ISIN code:
FI0009007884
EUROST_600
74.4
2.7
6.9
12.1
10.40
Communication
EUR
-0.10
5.5
5.10
31.6
0.80
17.70
2_EURO
C4_Shares
11.0
Fortum Oyj
LT return in %:
7.3
ADAM score:
9
LT recurring return in %:
5.7
LT volatility in %:
40.8
ESG score out of 20:
9.0
Activity sector:
Utilities
Week of data end:
2024W13
ISIN code:
FI0009007132
EUROST_600
70.4
0.0
5.7
7.6
12.50
Utilities
EUR
-1.10
-1.4
1.20
31.4
0.20
6.80
2_EURO
C4_Shares
9.0
UPM-Kymmene Oyj
LT return in %:
7.3
ADAM score:
11
LT recurring return in %:
4.7
LT volatility in %:
30.8
ESG score out of 20:
13.0
Activity sector:
Materials
Week of data end:
2024W13
ISIN code:
FI0009005987
EUROST_600
70.7
8.6
4.7
10.8
8.70
Materials
EUR
-0.50
1.8
1.50
28.9
0.20
42.30
2_EURO
C4_Shares
13.0
Stora Enso Oyj
LT return in %:
5.1
ADAM score:
9
LT recurring return in %:
3.7
LT volatility in %:
30.8
ESG score out of 20:
13.0
Activity sector:
Materials
Week of data end:
2024W13
ISIN code:
FI0009005961
EUROST_600
65.4
0.4
3.7
1.3
7.90
Materials
EUR
1.70
-0.5
0.90
27.9
0.20
0.00
2_EURO
C4_Shares
13.0
Nokian Renkaat Oyj
LT return in %:
13.7
ADAM score:
9
LT recurring return in %:
4.4
LT volatility in %:
40.8
ESG score out of 20:
15.0
Activity sector:
Consumer_Discretionary
Week of data end:
2024W13
ISIN code:
FI0009005318
EUROST_600
65.1
0.0
4.4
0.0
0.00
Consumer_Discretionary
EUR
1.80
8.7
0.90
41.7
0.30
97.00
2_EURO
C4_Shares
15.0
Wartsila OYJ Abp
LT return in %:
13.6
ADAM score:
11
LT recurring return in %:
6.1
LT volatility in %:
26.9
ESG score out of 20:
10.0
Activity sector:
Industrials
Week of data end:
2024W13
ISIN code:
FI0009003727
EUROST_600
63.5
14.6
6.1
0.0
0.00
Industrials
EUR
1.00
9.0
3.70
30.6
0.50
32.00
2_EURO
C4_Shares
10.0
Sampo Oyj
LT return in %:
14.0
ADAM score:
11
LT recurring return in %:
7.1
LT volatility in %:
12.9
ESG score out of 20:
14.0
Activity sector:
Financials
Week of data end:
2024W13
ISIN code:
FI0009003305
EUROST_600
70.5
0.0
7.1
7.9
0.00
Financials
EUR
0.40
8.9
2.70
27.6
1.10
18.60
2_EURO
C4_Shares
14.0
TIETO
LT return in %:
4.3
ADAM score:
9
LT recurring return in %:
3.3
LT volatility in %:
24.0
ESG score out of 20:
0.0
Activity sector:
Info_Technology
Week of data end:
2024W13
ISIN code:
FI0009000277
EUROST_600
60.2
0.4
3.3
28.4
25.20
Info_Technology
EUR
-2.30
-0.9
1.40
32.6
0.20
13.50
2_EURO
C4_Shares
0.0
Huhtamaki Oyj
LT return in %:
7.8
ADAM score:
10
LT recurring return in %:
3.8
LT volatility in %:
26.4
ESG score out of 20:
0.0
Activity sector:
Consumer_Discretionary
Week of data end:
2024W13
ISIN code:
FI0009000459
EUROST_600
63.8
16.5
3.8
7.9
3.80
Consumer_Discretionary
EUR
1.40
5.0
2.20
26.9
0.30
19.70
2_EURO
C4_Shares
0.0
Kesko Oyj
LT return in %:
13.5
ADAM score:
12
LT recurring return in %:
6.5
LT volatility in %:
15.8
ESG score out of 20:
0.0
Activity sector:
Consumer_Staples
Week of data end:
2024W13
ISIN code:
FI0009000202
EUROST_600
74.0
4.9
6.5
8.9
19.60
Consumer_Staples
EUR
-0.80
6.1
2.50
24.1
0.90
13.90
2_EURO
C4_Shares
0.0
VISCOFAN SA
LT return in %:
15.8
ADAM score:
10
LT recurring return in %:
3.7
LT volatility in %:
21.9
ESG score out of 20:
0.0
Activity sector:
Consumer_Discretionary
Week of data end:
2024W13
ISIN code:
ES0184262212
EUROST_600
71.8
0.0
3.7
17.9
5.30
Consumer_Discretionary
EUR
1.60
12.3
2.80
24.2
0.70
19.40
2_EURO
C4_Shares
0.0
iShares MSCI Eurozone ETF
LT return in %:
4.3
ADAM score:
9
LT recurring return in %:
2.8
LT volatility in %:
10.4
ESG score out of 20:
0.0
Activity sector:
No_Sector
Week of data end:
2024W13
ISIN code:
ETF_MSCI_EURO
ETF
62.6
12.8
2.8
0.0
3.80
No_Sector
USD
1.80
-0.9
0.00
21.3
0.40
0.00
2_EURO
C4_Shares
0.0
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