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ABB Ltd (ABB)

Equity · Currency in USD · Last updated Sep 24, 2022

Company Info

ISINUS0003752047
CUSIP000375204
SectorIndustrials
IndustryElectrical Equipment & Parts

Trading Data

Previous Close$26.54
Year Range$26.18 - $38.00
EMA (50)$28.38
EMA (200)$30.76
Average Volume$1.57M
Market Capitalization$51.30B

ABBShare Price Chart


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ABBPerformance

The chart shows the growth of $10,000 invested in ABB Ltd in Jan 2010 and compares it to the S&P 500 index or another benchmark. It would be worth nearly $20,323 for a total return of roughly 103.23%. All prices are adjusted for splits and dividends.


-20.00%-15.00%-10.00%-5.00%0.00%AprilMayJuneJulyAugustSeptember
-23.19%
-19.28%
ABB (ABB Ltd)
Benchmark (^GSPC)

ABBReturns in periods

Returns over 1 year are annualized

PeriodReturnBenchmark
1M-9.74%-10.55%
6M-23.99%-18.29%
YTD-30.74%-22.51%
1Y-24.89%-15.98%
5Y4.41%8.10%
10Y6.55%9.76%

ABBMonthly Returns Heatmap


JanFebMarAprMayJunJulAugSepOctNovDec
2022-8.91%-3.13%-1.45%-7.64%3.68%-13.69%13.62%-9.22%-6.57%
20215.54%-2.47%8.89%6.43%5.27%-0.44%7.74%1.01%-9.81%-0.96%4.57%10.48%
2020-3.82%-6.60%-16.46%8.69%4.80%14.75%10.77%2.04%-0.20%-4.56%8.44%6.15%
20190.74%2.92%-4.26%9.49%-8.48%10.18%-6.14%1.17%3.42%6.71%4.00%10.35%
20183.92%-12.85%-2.26%1.53%-2.28%-4.27%5.74%2.13%0.51%-15.11%1.10%-6.26%
201713.05%-5.33%3.77%8.76%2.15%-0.92%-5.62%-1.36%6.77%5.58%-1.49%4.20%
2016-2.43%2.89%9.10%8.70%-1.56%-4.57%11.48%1.98%3.88%-8.26%-1.07%3.13%
2015-9.50%11.76%-1.03%2.83%3.10%-4.40%-2.04%-4.78%-8.49%6.85%-0.32%-5.79%
2014-6.48%2.58%1.22%-7.25%2.60%-3.03%-0.09%-1.00%-1.58%-2.10%2.19%-5.66%
20132.98%6.12%0.18%2.36%-3.46%-0.60%1.75%-2.86%10.18%7.97%0.31%3.95%
201210.62%-1.63%-0.39%-7.54%-12.98%3.23%6.31%-0.17%7.97%-3.42%7.53%7.05%
20115.43%3.55%-1.31%13.64%0.40%-3.53%-7.75%-11.15%-19.70%10.13%0.85%-0.74%
2010-8.20%12.37%7.80%-12.27%-11.22%1.59%19.77%-4.01%9.03%-2.04%-6.43%15.96%

ABBSharpe Ratio Chart

The Sharpe ratio shows whether the portfolio's excess returns are due to smart investment decisions or a result of taking a higher risk. The higher a portfolio's Sharpe ratio, the better its risk-adjusted performance.

The current ABB Ltd Sharpe ratio is -0.91. A negative Sharpe ratio means that the risk-free rate is higher than the portfolio's return. This value does not convey any meaningful information.

The chart below displays rolling 12-month Sharpe Ratio.


-1.00-0.500.000.501.00AprilMayJuneJulyAugustSeptember
-0.91
-0.78
ABB (ABB Ltd)
Benchmark (^GSPC)

ABBDividend History

ABB Ltd granted a 3.44% dividend yield in the last twelve months. The annual payout for that period amounted to $0.89 per share.


PeriodTTM202120202019201820172016201520142013201220112010
Dividend$0.89$0.87$0.77$0.80$0.83$0.76$0.76$0.77$0.79$0.74$0.70$0.64$0.48

Dividend yield

3.44%2.35%2.92%3.66%5.00%3.39%4.46%5.54%4.95%3.82%4.79%5.01%3.23%

ABBDrawdowns Chart

The Drawdowns chart displays portfolio losses from any high point along the way.


-35.00%-30.00%-25.00%-20.00%-15.00%-10.00%-5.00%0.00%OctoberNovemberDecember2022FebruaryMarchAprilMayJuneJulyAugustSeptember
-32.21%
-23.00%
ABB (ABB Ltd)
Benchmark (^GSPC)

ABBWorst Drawdowns

The table below shows the maximum drawdowns of the ABB Ltd. A maximum drawdown is an indicator of risk. It shows a reduction in portfolio value from its maximum due to a series of losing trades.

The maximum drawdown since January 2010 for the ABB Ltd is 44.06%, recorded on Mar 23, 2020. It took 84 trading sessions for the portfolio to recover.


Depth

Start

To Bottom

Bottom

To Recover

End

Total

-44.06%Jan 29, 2018541Mar 23, 202084Jul 22, 2020625
-40.46%Jun 1, 2011270Jun 25, 2012335Oct 24, 2013605
-36.48%Jan 21, 2014502Jan 15, 2016319Apr 24, 2017821
-32.21%Jan 5, 2022181Sep 23, 2022
-28.86%Apr 15, 201026May 20, 2010101Oct 13, 2010127
-16.59%Jan 11, 201020Feb 8, 201017Mar 4, 201037
-14.68%Oct 22, 201027Nov 30, 201023Jan 3, 201150
-14.3%Aug 17, 202149Oct 25, 202143Dec 27, 202192
-11.98%Jun 5, 201754Aug 18, 201751Oct 31, 2017105
-10.33%Oct 13, 202013Oct 29, 20208Nov 10, 202021

ABBVolatility Chart

Current ABB Ltd volatility is 20.35%. The chart below shows the rolling 10-day volatility. Volatility is a statistical measure showing how big price swings are in either direction. The higher asset volatility, the riskier it is, because the price movements are less predictable.


15.00%20.00%25.00%30.00%35.00%40.00%AprilMayJuneJulyAugustSeptember
20.35%
23.28%
ABB (ABB Ltd)
Benchmark (^GSPC)