Volatility averaged over 5 days of
T over the past 3 years.Return distribution of T over
the past 3 years.
Correlation of T with market
return over the past 3 years.Correlation of T with market
return over time for the past 3 years.Development of beta for T for
the past 3 years.
Correlation of T with sector
returns over the past 3 years.Linear regression coefficients of
T with sector returns over the past 3 years.