Performance of BME (B&M European Value Retail SA) - Total Returns
TimeFrame |
BME |
XLY |
1 Day |
1.59%
|
0.15% |
1 Week |
6.32% |
1.17% |
1 Month |
16.23% |
6.59% |
3 Months |
10.97% |
1.79% |
6 Months |
16.40% |
7.87% |
12 Months |
58.95% |
23.72% |
YTD |
59.84% |
33.29% |
Rel. Perf. 1m |
0.63
|
|
Rel. Perf. 3m |
0.95
|
|
Rel. Perf. 6m |
0.65
|
|
Rel. Perf. 12m |
2.62
|
|
Comparison with the Market (Total Return): Values above 0%: BME is performing better - Values below 0%: BME is underperforming
|
Symbol |
1w |
1m |
6m |
12m |
US S&P 500 |
SPY |
6.29% |
11.85% |
9.38% |
41.66% |
US NADSAQ 100 |
QQQ |
7.54% |
11.94% |
7.58% |
21.33% |
US Dow Jones Industrial 30 |
DIA |
4.47% |
10.10% |
7.90% |
49.44% |
German DAX 40 |
DBXD |
3.25% |
6.15% |
12.24% |
43.55% |
UK FTSE 100 |
ISFU |
5.63% |
12.95% |
14.61% |
52.21% |
Shanghai Shenzhen CSI 300 |
CSI 300 |
9.27% |
21.08% |
26.77% |
73.35% |
Hongkong Hang Seng |
HSI |
9.31% |
24.27% |
27.79% |
71.02% |
Japan Nikkei 225 |
EXX7 |
4.62% |
12.75% |
20.71% |
49.74% |
India NIFTY 50 |
INDA |
2.57% |
9.10% |
4.17% |
49.01% |
Brasil Bovespa |
EWZ |
6.76% |
11.17% |
6.44% |
38.41% |
Bitcoin |
BTC |
-9.23% |
-8.63% |
-44.20% |
-97.03% |
|
Symbol |
1w |
1m |
6m |
12m |
Communication Services |
XLC |
8.41% |
14.26% |
7.89% |
19.27% |
Consumer Discretionary |
XLY |
5.15% |
9.64% |
8.53% |
35.23% |
Consumer Staples |
XLP |
5.83% |
14.14% |
18.71% |
63.71% |
Energy |
XLE |
8.83% |
20.65% |
12.33% |
59.33% |
Financial |
XLF |
5.56% |
10.02% |
7.16% |
53.86% |
Health Care |
XLV |
4.52% |
13.31% |
13.78% |
61.29% |
Industrial |
XLI |
3.84% |
9.13% |
7.94% |
47.94% |
Materials |
XLB |
6.96% |
12.81% |
12.77% |
57.23% |
Real Estate |
XLRE |
3.61% |
6.70% |
11.66% |
55.52% |
Technology |
XLK |
7.42% |
10.46% |
5.71% |
17.26% |
Utilities |
XLU |
4.43% |
13.04% |
17.42% |
66.47% |
Aerospace & Defense |
XAR |
3.42% |
8.62% |
4.83% |
39.29% |
Biotech |
XBI |
-1.38% |
2.41% |
26.13% |
60.25% |
Homebuilder |
XHB |
1.57% |
2.83% |
-1.20% |
13.78% |
Retail |
XRT |
3.52% |
8.43% |
5.75% |
54.70% |
|
Symbol |
1w |
1m |
6m |
12m |
Oil |
USO |
17.02% |
29.78% |
14.88% |
59.67% |
Natural Gas |
UNG |
14.49% |
42.04% |
34.92% |
128.08% |
Gold |
GLD |
7.22% |
13.78% |
13.38% |
45.00% |
Silver |
SLV |
10.47% |
12.20% |
15.11% |
51.66% |
Copper |
CPER |
8.94% |
16.49% |
16.79% |
58.86% |
|
Symbol |
1w |
1m |
6m |
12m |
iShares 20+ Years Bond |
TLT |
2.49% |
5.41% |
21.06% |
66.27% |
iShares High Yield Corp. Bond |
HYG |
5.82% |
13.37% |
11.65% |
50.93% |
Why you need a Total Return Perfomance Comparison?
Comparing the Total Return of B&M European Value Retail SA with its related sector or the XLY index is a fundamental analysis that provides investors with a comprehensive perspective on the company's performance.
Total Return encompasses not just stock price changes but also factors in dividends and other income sources, offering a more holistic view of investment outcomes.
This comparison allows investors to assess how B&M European Value Retail SA returns stack up against the performance of its broader sector, the XLY index.
Ratings above 1 on the
Relative Performance Scale signify that the investment is performing well, while a rating exceeding 2 indicates exceptional performance.
Consequently, this analysis assists investors in making well-informed decisions about their investments by providing insights into whether B&M European Value Retail SA is outperforming or underperforming its sector in terms of total returns.