Euronav Growth rate volatility (2y)
330 %
Last period Growth rate volatility (2y)
What is Growth rate volatility (2y) ?
An indicator of the degree of volatility in the growth rate of a company's profit in the medium-term retrospective. A value below the average growth rate for the same period is the benchmark for calculating a company rating in Eyestock model.
See also Euronav
Company Analysis
OCW.MU valuation, rating, competitors, insights and company profile
Eyestock Rating
OCW.MU financial analysis by Eyestock methodology
Valuation
OCW.MU valuation using historical relative method
Financials
OCW.MU revenue, earnings, ROE, ROIC and other financials
Statements
OCW.MU Income Statements, Balance Sheet and Cash Flow Statements
Dividends
OCW.MU dividend yield and annual dividend
What is Growth rate volatility (2y) ?
An indicator of the degree of volatility in the growth rate of a company's profit in the medium-term retrospective. A value below the average growth rate for the same period is the benchmark for calculating a company rating in Eyestock model.
What is Growth rate volatility (2y) of Euronav ?
Euronav`s Growth rate volatility (2y) for the period ended 2024-03-31 is 330 %