Returns

Year to date (YTD) -3.24%
1 year -4.06%
3 years -22.55%
Data provided by FactSet Research Systems

Key stats

Price/earnings (LTM) -
Dividend yield (LTM) 2.58%
EPS (LTM) -2.1
Volatility (30 days) 27.63%
Data provided by FactSet Research Systems

Analyst consensus

Average rating -
Rating Analysts
Buy
-
Overweight
-
Hold
-
Underweight
-
Sell
-
Target price -
Implied return -
Last updated -
Data provided by FactSet Research Systems

ESG risk

ESG risk score 23.43
Environmental score 6.95
Social score 11.63
Governance score 4.86
ESG risk category Medium
Negligible Low Med High Severe
0-10 10-20 20-30 30-40 40+

ESG risk is a measure of how well a company manages material ESG risks. Sustainalytics’ ESG risk category is designed to help investors identify and understand financially material ESG risks at the company level and how they might affect the long-term performance for equity investments. The scale is from 0-100. The lower the risk, the better (0 is equivalent to no risk and 100 the most severe).

Download ESG risk methodology (PDF)
Data provided by Morningstar / Sustain Analytics

Saxo Bank A/S (Headquarters)
Philip Heymans Alle 15
2900 Hellerup
Denmark

Contact Saxo

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