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K – Kellanova
Price development of K over the past 3 years.
Volatility
Volatility averaged over 5 days of K over the past 3 years.
Return distribution of K over the past 3 years.
Relationship with Market Returns
Correlation of K with market return over the past 3 years.
Correlation of K with market return over time for the past 3 years.
Development of beta for K for the past 3 years.
Relationship with Sector Returns
Correlation of K with sector returns over the past 3 years.
Linear regression coefficients of K with sector returns over the past 3 years.