跳至内容
TimeLinq

资产比较器

在同一时段内比较股票、ETF、指数、大宗商品、加密货币和债券。对某类资产无意义的指标将予以标注。

  • Toyota (ADR)

Comparative performance (base 100)

Each asset is worth 100 at October 13, 2025; a value of 120 means +20% since that date (latest common date: October 9, 2026).

Indicators

"Not applicable" indicates a metric that has no meaning for this type of asset: it should not be compared.

IndicatorToyota (ADR)操作
Performance and risk
区间表现股价在首个与最后一个共同日期之间的涨跌幅。−1.4%
年化业绩使总回报相同的年均收益率。−1.4%
年化波动率价格的常见波动幅度:幅度越大,股价波动越剧烈。26.2%
最大跌幅该期间内从峰值到下一个谷底的最大跌幅。−32.9%
夏普比率超过无风险利率(5.24%)的收益,按单位波动率计算。该值越高,说明该期间风险获得的回报越好。-0.12
95% 置信度下的单日损失单日亏损,仅有5%的情况下会超过该水平(历史VaR)。−2.4%
Fundamentals
市值全部股票的市值(加密货币则为流通代币总价值)。2194.29亿 $
市盈率(过去12个月)价格除以每股收益:即需要多少年的利润才能支付该价格。8.1
股价/营业收入市值除以年营业收入。0.0
净利润率留存为利润的营业收入比例。8.6%
净资产收益率净资产收益率(ROE)。12.4%
营业收入增长按年计算,最近一个已公布季度与上年同一季度相比。+10.4%
股息收益率年度股息与股价之比。3.37%
负债/股东权益金融债务相对于股东权益的比率。115%

Information provided for educational purposes only. It does not constitute investment advice or a personalized recommendation. Past performance is no guarantee of future results.

Exemples :