PortfoliosLab logo
PortfoliosLab logo
Tools
Performance Analysis
Portfolio Analysis
Factor Model
Portfolios
Lazy PortfoliosUser Portfolios
Discussions
Pozzi Milano S.p.A. (POZ.MI)
Performance
Risk-Adjusted Performance
Dividends
Drawdowns
Volatility
Financials

Company Info

Sector

Consumer Cyclical

Highlights

Market Cap

€16.27M

EPS (TTM)

€0.02

PE Ratio

23.35

Year Range

€0.39 - €0.80

Target Price

€1.25

Share Price Chart


Loading data...

Compare to other instruments

Search for stocks, ETFs, and funds for a quick comparison or use the comparison tool for more options.


Performance

Performance Chart

The chart shows the growth of an initial investment of €10,000 in Pozzi Milano S.p.A., comparing it to the performance of the S&P 500 index or another benchmark. All prices have been adjusted for splits and dividends.


-60.00%-40.00%-20.00%0.00%20.00%40.00%60.00%SeptemberOctoberNovemberDecember2025February
-53.30%
51.37%
POZ.MI (Pozzi Milano S.p.A.)
Benchmark (^GSPC)

Returns By Period

Pozzi Milano S.p.A. had a return of 7.60% year-to-date (YTD) and -41.48% in the last 12 months.


POZ.MI

YTD

7.60%

1M

13.35%

6M

-8.79%

1Y

-41.48%

5Y*

N/A

10Y*

N/A

^GSPC (Benchmark)

YTD

3.96%

1M

1.97%

6M

10.09%

1Y

22.16%

5Y*

12.70%

10Y*

11.33%

*Annualized

Monthly Returns

The table below presents the monthly returns of POZ.MI, with color gradation from worst to best to easily spot seasonal factors. Returns are adjusted for dividends.


JanFebMarAprMayJunJulAugSepOctNovDecTotal
2025-5.53%7.60%
20240.25%-7.11%-9.23%-4.94%-23.55%8.00%-3.70%-15.38%12.73%-14.11%-0.47%2.36%-46.68%
2023-4.36%-3.16%2.17%7.09%-0.66%-9.67%-1.48%2.25%-23.08%-20.38%-9.57%7.67%-45.37%
2022-7.71%1.74%15.12%-0.56%33.49%3.83%49.00%

Risk-Adjusted Performance

Risk-Adjusted Performance Rank

The current rank of POZ.MI is 9, meaning it’s performing worse than 91% of other stocks on our website when it comes to balancing risk and reward. Below is a breakdown of how it compares using common performance measures.


The Risk-Adjusted Performance Rank of POZ.MI is 99
Overall Rank
The Sharpe Ratio Rank of POZ.MI is 44
Sharpe Ratio Rank
The Sortino Ratio Rank of POZ.MI is 66
Sortino Ratio Rank
The Omega Ratio Rank of POZ.MI is 77
Omega Ratio Rank
The Calmar Ratio Rank of POZ.MI is 1414
Calmar Ratio Rank
The Martin Ratio Rank of POZ.MI is 1616
Martin Ratio Rank
The risk-adjusted ranks indicate the investment's position relative to the market. A rank closer to 100 signifies top-performing investments, while a rank closer to 0 might suggest underperformance, based on the selected ratio. The values are calculated based on the past 12 months of returns.

Risk-Adjusted Performance Indicators

The charts below present risk-adjusted performance metrics for Pozzi Milano S.p.A. (POZ.MI) and compare them to a chosen benchmark (^GSPC). These indicators evaluate an investment's returns against its associated risks.


Sharpe ratio
The chart of Sharpe ratio for POZ.MI, currently valued at -0.93, compared to the broader market-2.000.002.004.00-0.931.83
The chart of Sortino ratio for POZ.MI, currently valued at -1.30, compared to the broader market-6.00-4.00-2.000.002.004.006.00-1.302.47
The chart of Omega ratio for POZ.MI, currently valued at 0.83, compared to the broader market0.501.001.502.000.831.33
The chart of Calmar ratio for POZ.MI, currently valued at -0.55, compared to the broader market0.002.004.006.00-0.552.76
The chart of Martin ratio for POZ.MI, currently valued at -1.15, compared to the broader market-10.000.0010.0020.0030.00-1.1511.27
POZ.MI
^GSPC

The current Pozzi Milano S.p.A. Sharpe ratio is -0.93. This value is calculated based on the past 1 year of trading data and takes into account price changes and dividends.

Use the chart below to compare the Sharpe ratio of Pozzi Milano S.p.A. with the selected benchmark, providing insights into the investment's historical performance in terms of risk-adjusted returns. Go to the Sharpe ratio tool for more fine-grained control over the calculation options.


Rolling 12-month Sharpe Ratio-1.000.001.002.003.00SeptemberOctoberNovemberDecember2025February
-0.93
1.94
POZ.MI (Pozzi Milano S.p.A.)
Benchmark (^GSPC)

Dividends

Dividend History


Pozzi Milano S.p.A. doesn't pay dividends

Drawdowns

Drawdowns Chart

The Drawdowns chart displays portfolio losses from any high point along the way. Drawdowns are calculated considering price movements and all distributions paid, if any.


-80.00%-60.00%-40.00%-20.00%0.00%SeptemberOctoberNovemberDecember2025February
-70.44%
-0.99%
POZ.MI (Pozzi Milano S.p.A.)
Benchmark (^GSPC)

Worst Drawdowns

The table below displays the maximum drawdowns of the Pozzi Milano S.p.A.. A maximum drawdown is a measure of risk, indicating the largest reduction in portfolio value due to a series of losing trades.

The maximum drawdown for the Pozzi Milano S.p.A. was 75.25%, occurring on Nov 21, 2024. The portfolio has not yet recovered.

The current Pozzi Milano S.p.A. drawdown is 70.44%.


Depth

Start

To Bottom

Bottom

To Recover

End

Total

-75.25%Jun 9, 2023372Nov 21, 2024
-13.6%Jul 25, 20226Aug 1, 202242Sep 29, 202248
-11.84%Dec 30, 202238Feb 21, 202343Apr 25, 202381
-11.46%Apr 26, 202315May 17, 202316Jun 8, 202331
-6.51%Oct 5, 202213Oct 21, 20222Oct 25, 202215

Volatility

Volatility Chart

The current Pozzi Milano S.p.A. volatility is 10.34%, representing the average percentage change in the investments's value, either up or down over the past month. The chart below shows the rolling one-month volatility.


5.00%10.00%15.00%SeptemberOctoberNovemberDecember2025February
10.34%
3.49%
POZ.MI (Pozzi Milano S.p.A.)
Benchmark (^GSPC)

Financials

Financial Performance

The chart below illustrates the trends in the financial health of Pozzi Milano S.p.A. over time, highlighting three key metrics: Total Revenue, Earnings Before Interest and Taxes (EBIT), and Net Income.

Annual
Quarterly

0.0

Historical P/E Ratio Chart

The chart below displays the historical trend of the price-to-earnings (P/E) ratio for Pozzi Milano S.p.A..


Loading data...

Income Statement



TTM
Revenue

Total Revenue

Cost Of Revenue

Gross Profit

Operating Expenses

Selling, General & Admin Expenses

R&D Expenses

Depreciation And Amortization

Total Operating Expenses

Income

Income Before Tax

Operating Income

EBITDA

EBIT

Earnings From Continuing Operations

Net Income

Income Tax Expense

Other Non-Operating Income (Expenses)

Extraordinary Items

Discontinued Operations

Effect Of Accounting Charges

Non Recurring

Minority Interest

Other Items

Interest Income

Interest Expense

Net Interest Income

Values in undefined except per share items
PortfoliosLab logo
Performance Analysis
Portfolio AnalysisPortfolio PerformanceStock ComparisonSharpe RatioMartin RatioTreynor RatioSortino RatioOmega RatioCalmar RatioSummers Ratio
Community
Discussions


Disclaimer

The information contained herein does not constitute investment advice and made available for educational purposes only. Prices and returns on equities are listed without consideration of fees, commissions, taxes, penalties, or interest payable due to purchasing, holding, or selling.

Copyright © 2025 PortfoliosLab