` CSR (Caspar Asset Management SA) vs WIG20 Comparison - Alpha Spread

C
CSR
vs
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WIG20

Over the past 12 months, CSR has underperformed WIG20, delivering a return of -35% compared to the WIG20's +10% growth.

Stocks Performance
CSR vs WIG20

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Performance Gap
CSR vs WIG20

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CSR
WIG20
Difference
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Performance By Year
CSR vs WIG20

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CSR
WIG20
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Competitors Performance
Caspar Asset Management SA vs Peers

Caspar Asset Management SA
Glance View

Market Cap
55.2m PLN
Industry
Financial Services

Caspar Asset Management SA engages in the provision of financial services. The company is headquartered in Poznan, Woj. Wielkopolskie. The company went IPO on 2011-12-08. The firm is engaged in asset management by investing on the capital markets, in particular in shares and debt securities. The Company’s services are directed to individuals and institutional investors who wish to invest in Central and Eeaster European Markets. The company offers both equity strategies as well as balanced strategies. As of December 31, 2011, the Company operated two wholly owned subsidiaries, Caspar Towarzystwo Funduszy Inwestytcyjnych SA and F-Trust SA.

CSR Intrinsic Value
12.13 PLN
Undervaluation 54%
Intrinsic Value
Price
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