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Performance
Performance Chart
The chart shows the growth of an initial investment of €10,000 in Viscofan, S.A, comparing it to the performance of the S&P 500 index or another benchmark. All prices have been adjusted for splits and dividends.
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Different Benchmark Currency
VIS.MC is traded in EUR, while the ^GSPC benchmark is in USD. To make them comparable, the benchmark values have been converted to EUR using the latest available exchange rates.
Returns By Period
Viscofan, S.A (VIS.MC) has returned 12.73% so far this year and -1.48% over the past 12 months. Over the last ten years, VIS.MC has returned 4.61% per year, falling short of the S&P 500 Index benchmark, which averaged 11.99% annually.
Viscofan, S.A
- 1D
- 0.67%
- 1M
- 1.52%
- YTD
- 12.73%
- 6M
- 6.02%
- 1Y
- -1.48%
- 3Y*
- 0.67%
- 5Y*
- 3.71%
- 10Y*
- 4.61%
Benchmark (S&P 500 Index)
- 1D
- 2.02%
- 1M
- -2.96%
- YTD
- -3.12%
- 6M
- -0.95%
- 1Y
- 8.84%
- 3Y*
- 14.21%
- 5Y*
- 10.59%
- 10Y*
- 11.99%
Monthly Returns
Based on dividend-adjusted daily data since Dec 2, 1991, VIS.MC's average daily return is +0.05%, while the average monthly return is +1.05%. At this rate, your investment would double in approximately 5.5 years.
Historically, 56% of months were positive and 44% were negative. The best month was Mar 1998 with a return of +30.5%, while the worst month was Sep 1992 at -32.8%. The longest winning streak lasted 10 consecutive months, and the longest losing streak was 7 months.
On a daily basis, VIS.MC closed higher 48% of trading days. The best single day was Oct 25, 2019 with a return of +17.1%, while the worst single day was Oct 26, 2018 at -19.6%.
| Jan | Feb | Mar | Apr | May | Jun | Jul | Aug | Sep | Oct | Nov | Dec | Total | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| 2026 | 5.62% | 5.14% | 1.52% | 12.73% | |||||||||
| 2025 | 0.16% | -0.33% | 4.93% | -0.47% | 1.88% | -4.73% | -0.66% | -0.33% | -2.84% | -7.23% | 1.75% | -0.37% | -8.45% |
| 2024 | 1.12% | -3.87% | 13.05% | 1.36% | 2.78% | 2.33% | 0.16% | -0.81% | 4.26% | -3.61% | 1.42% | -0.16% | 18.41% |
| 2023 | -1.74% | 2.45% | 8.91% | -5.76% | 0.48% | 1.98% | -6.79% | 1.69% | -3.67% | -5.54% | 3.11% | -2.82% | -8.48% |
| 2022 | -5.18% | 2.50% | -2.71% | -2.32% | -4.00% | 4.79% | 8.38% | -1.76% | 0.00% | 7.78% | -1.16% | 2.96% | 8.50% |
| 2021 | 0.26% | 0.09% | 1.12% | -3.40% | 1.67% | 2.06% | -0.43% | 2.13% | -5.43% | 4.60% | -5.16% | 3.57% | 0.50% |
Benchmark Metrics
Viscofan, S.A has an annualized alpha of 9.31%, beta of 0.22, and R² of 0.03 versus S&P 500 Index. Calculated based on daily prices since December 03, 1991.
- This stock participates in less of S&P 500 Index's moves in both directions, but captures a larger share of gains (34.59%) than losses (9.12%) — typical of diversified or defensive assets.
- Beta of 0.22 may look defensive, but with R² of 0.03 this stock is largely uncorrelated with S&P 500 Index — low beta reflects independence, not downside protection. See the Volatility section for a true picture of this stock's risk.
- R² of 0.03 means this stock moves largely independently of S&P 500 Index — capture ratios reflect limited market correlation rather than active downside protection. Consider using a more representative benchmark.
- Alpha
- 9.31%
- Beta
- 0.22
- R²
- 0.03
- Upside Capture
- 34.59%
- Downside Capture
- 9.12%
Return for Risk
Risk / Return Rank
VIS.MC ranks 32 for risk / return — below 32% of stocks on our site. The returns aren't fully compensating for the risk involved. This isn't necessarily a dealbreaker, but factor it into your decision — especially if you're risk-averse.
Return / Risk — by metrics
The table below present risk-adjusted performance metrics for Viscofan, S.A (VIS.MC) and compare them to a chosen benchmark (S&P 500 Index).
| VIS.MC | Benchmark | Difference | |
|---|---|---|---|
Sharpe ratioReturn per unit of total volatility | -0.07 | 0.43 | -0.50 |
Sortino ratioReturn per unit of downside risk | 0.05 | 0.73 | -0.68 |
Omega ratioGain probability vs. loss probability | 1.01 | 1.11 | -0.11 |
Calmar ratioReturn relative to maximum drawdown | -0.31 | 0.67 | -0.97 |
Martin ratioReturn relative to average drawdown | -0.57 | 2.80 | -3.37 |
Data is calculated on a 1-year rolling basis and updated daily. The trend shows the change in the indicator over the past month. | |||
Explore VIS.MC risk-adjusted metrics in detail
Dive deeper into individual metrics with historical trends, benchmark comparisons, and performance across different time periods.
Dividends
Dividend History
Viscofan, S.A provided a 4.27% dividend yield over the last twelve months, with an annual payout of €2.57 per share. The company has been increasing its dividends for 4 consecutive years.
| Period | TTM | 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 |
|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Dividend | €2.57 | €2.57 | €2.46 | €1.57 | €1.48 | €1.37 | €1.91 | €1.30 | €1.37 | €1.21 | €1.13 | €1.00 |
Dividend yield | 4.27% | 4.81% | 4.03% | 2.93% | 2.46% | 2.41% | 3.29% | 2.75% | 2.84% | 2.19% | 2.40% | 1.79% |
Monthly Dividends
The table displays the monthly dividend distributions for Viscofan, S.A. The dividends shown in the table have been adjusted to account for any splits that may have occurred.
| Jan | Feb | Mar | Apr | May | Jun | Jul | Aug | Sep | Oct | Nov | Dec | Total | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| 2026 | €0.00 | €0.00 | €0.00 | €0.00 | |||||||||
| 2025 | €0.00 | €0.00 | €0.00 | €0.00 | €1.37 | €0.00 | €0.00 | €0.00 | €0.00 | €0.00 | €1.20 | €0.00 | €2.57 |
| 2024 | €0.00 | €0.00 | €0.00 | €0.00 | €1.29 | €0.00 | €0.00 | €0.00 | €0.00 | €0.00 | €1.16 | €0.00 | €2.46 |
| 2023 | €0.00 | €0.00 | €0.00 | €0.00 | €0.00 | €0.44 | €0.00 | €0.00 | €0.00 | €0.00 | €0.00 | €1.13 | €1.57 |
| 2022 | €0.00 | €0.00 | €0.00 | €0.00 | €0.35 | €0.00 | €0.00 | €0.00 | €0.00 | €0.00 | €0.00 | €1.13 | €1.48 |
| 2021 | €0.00 | €0.00 | €0.00 | €0.00 | €0.00 | €0.23 | €0.00 | €0.00 | €0.00 | €0.00 | €0.00 | €1.13 | €1.37 |
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.
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Worst Drawdowns
The table below displays the maximum drawdowns of the Viscofan, S.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 Viscofan, S.A was 80.16%, occurring on Sep 14, 2001. Recovery took 2094 trading sessions.
The current Viscofan, S.A drawdown is 6.87%.
Depth | Start | To Bottom | Bottom | To Recover | End | Total |
|---|---|---|---|---|---|---|
| -80.16% | Jul 14, 1998 | 798 | Sep 14, 2001 | 2094 | Jan 5, 2010 | 2892 |
| -75.37% | Feb 13, 1992 | 164 | Oct 6, 1992 | 316 | Jan 12, 1994 | 480 |
| -67.93% | Jun 13, 1994 | 366 | Nov 24, 1995 | 391 | Jun 25, 1997 | 757 |
| -36.53% | Sep 19, 2018 | 267 | Oct 4, 2019 | 209 | Jul 31, 2020 | 476 |
| -29.03% | Jul 18, 1997 | 72 | Oct 28, 1997 | 44 | Jan 2, 1998 | 116 |
Volatility
Volatility Chart
The chart below shows the rolling one-month volatility.
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