AppLovin APP stock has a high 5-year monthly beta of around 2.53, meaning it is about 2.5 times more volatile than the overall market. In contrast, Cisco Systems CSCO has a beta of 1.00, moving right in line with the broader market. This makes AppLovin more than 150% more volatile than Cisco. [1, 2, 3, 4, 5]
- AppLovin (APP): Beta of 2.53 (significantly higher risk and wider price swings).
- Why AppLovin's stock volatility is so high
- How to compare their recent earnings and growth
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