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^NIFTY200 vs. 2727.HK
Performance
Return for Risk
Drawdowns
Volatility

Performance

^NIFTY200 vs. 2727.HK - Performance Comparison

The chart below illustrates the hypothetical performance of a ₹10,000 investment in NIFTY 200 (^NIFTY200) and Shanghai Electric Group Co Ltd H (2727.HK). The values are adjusted to include any dividend payments, if applicable.

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^NIFTY200 vs. 2727.HK - Yearly Performance Comparison


2026 (YTD)202520242023202220212020201920182017
^NIFTY200
NIFTY 200
-12.48%8.40%13.63%23.49%3.65%27.47%15.62%8.68%-1.01%33.43%
2727.HK
Shanghai Electric Group Co Ltd H
3.31%42.05%81.06%-6.73%-18.24%6.04%-4.22%8.21%-11.86%-13.61%
Different Trading Currencies

^NIFTY200 is traded in INR, while 2727.HK is traded in HKD. To make them comparable, the 2727.HK values have been converted to INR using the latest available exchange rates.

Returns By Period

In the year-to-date period, ^NIFTY200 achieves a -12.48% return, which is significantly lower than 2727.HK's 3.31% return. Over the past 10 years, ^NIFTY200 has outperformed 2727.HK with an annualized return of 12.14%, while 2727.HK has yielded a comparatively lower 5.48% annualized return.


^NIFTY200

1D
1.83%
1M
-8.69%
YTD
-12.48%
6M
-8.19%
1Y
-0.69%
3Y*
12.19%
5Y*
10.35%
10Y*
12.14%

2727.HK

1D
4.92%
1M
-11.98%
YTD
3.31%
6M
-0.86%
1Y
61.12%
3Y*
31.04%
5Y*
12.84%
10Y*
5.48%
*Multi-year figures are annualized to reflect compound growth (CAGR)

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Return for Risk

^NIFTY200 vs. 2727.HK — Risk / Return Rank

Compare risk-adjusted metric ranks to identify better-performing investments over the past 12 months.

^NIFTY200
^NIFTY200 Risk / Return Rank: 1010
Overall Rank
^NIFTY200 Sharpe Ratio Rank: 1212
Sharpe Ratio Rank
^NIFTY200 Sortino Ratio Rank: 1111
Sortino Ratio Rank
^NIFTY200 Omega Ratio Rank: 1111
Omega Ratio Rank
^NIFTY200 Calmar Ratio Rank: 99
Calmar Ratio Rank
^NIFTY200 Martin Ratio Rank: 77
Martin Ratio Rank

2727.HK
2727.HK Risk / Return Rank: 6868
Overall Rank
2727.HK Sharpe Ratio Rank: 7171
Sharpe Ratio Rank
2727.HK Sortino Ratio Rank: 7070
Sortino Ratio Rank
2727.HK Omega Ratio Rank: 6868
Omega Ratio Rank
2727.HK Calmar Ratio Rank: 6666
Calmar Ratio Rank
2727.HK Martin Ratio Rank: 6464
Martin Ratio Rank
The rank (0–100) shows how this investment's returns compare to the risk taken. Higher = better. Based on the past 12 months of data, combining Sharpe, Sortino, and other metrics used by quantitative funds and institutional investors.

^NIFTY200 vs. 2727.HK - Risk-Adjusted Trends Comparison

This table presents a comparison of risk-adjusted performance metrics for NIFTY 200 (^NIFTY200) and Shanghai Electric Group Co Ltd H (2727.HK). Risk-adjusted metrics are performance indicators that assess an investment's returns in relation to its risk, enabling a more accurate comparison of different investment options.


^NIFTY2002727.HKDifference

Sharpe ratio

Return per unit of total volatility

-0.05

1.16

-1.21

Sortino ratio

Return per unit of downside risk

0.03

1.90

-1.87

Omega ratio

Gain probability vs. loss probability

1.00

1.24

-0.24

Calmar ratio

Return relative to maximum drawdown

-0.19

1.67

-1.86

Martin ratio

Return relative to average drawdown

-0.78

3.36

-4.14

^NIFTY200 vs. 2727.HK - Sharpe Ratio Comparison

The current ^NIFTY200 Sharpe Ratio is -0.05, which is lower than the 2727.HK Sharpe Ratio of 1.16. The chart below compares the historical Sharpe Ratios of ^NIFTY200 and 2727.HK, offering insights into how both investments have performed under varying market conditions. These values are calculated using daily returns over the previous 12 months.


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Sharpe Ratios by Period


^NIFTY2002727.HKDifference

Sharpe Ratio (1Y)

Calculated over the trailing 1-year period

-0.05

1.16

-1.21

Sharpe Ratio (5Y)

Calculated over the trailing 5-year period

0.74

0.27

+0.47

Sharpe Ratio (10Y)

Calculated over the trailing 10-year period

0.76

0.14

+0.63

Sharpe Ratio (All Time)

Calculated using the full available price history

0.58

0.14

+0.44

Correlation

The correlation between ^NIFTY200 and 2727.HK is 0.16, which is considered to be low. This implies their price changes are not closely related. A low correlation is generally favorable for portfolio diversification, as it helps to reduce overall risk by spreading it across multiple assets with different performance patterns.


Drawdowns

^NIFTY200 vs. 2727.HK - Drawdown Comparison

The maximum ^NIFTY200 drawdown since its inception was -64.04%, smaller than the maximum 2727.HK drawdown of -78.25%. Use the drawdown chart below to compare losses from any high point for ^NIFTY200 and 2727.HK.


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Drawdown Indicators


^NIFTY2002727.HKDifference

Max Drawdown

Largest peak-to-trough decline

-64.04%

-82.77%

+18.73%

Max Drawdown (1Y)

Largest decline over 1 year

-14.89%

-34.11%

+19.22%

Max Drawdown (5Y)

Largest decline over 5 years

-18.15%

-48.47%

+30.32%

Max Drawdown (10Y)

Largest decline over 10 years

-38.22%

-63.33%

+25.11%

Current Drawdown

Current decline from peak

-13.99%

-49.98%

+35.99%

Average Drawdown

Average peak-to-trough decline

-10.98%

-54.24%

+43.26%

Ulcer Index

Depth and duration of drawdowns from previous peaks

3.60%

16.31%

-12.71%

Volatility

^NIFTY200 vs. 2727.HK - Volatility Comparison

The current volatility for NIFTY 200 (^NIFTY200) is 7.86%, while Shanghai Electric Group Co Ltd H (2727.HK) has a volatility of 22.06%. This indicates that ^NIFTY200 experiences smaller price fluctuations and is considered to be less risky than 2727.HK based on this measure. The chart below showcases a comparison of their rolling one-month volatility.


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Volatility by Period


^NIFTY2002727.HKDifference

Volatility (1M)

Calculated over the trailing 1-month period

7.86%

22.06%

-14.20%

Volatility (6M)

Calculated over the trailing 6-month period

10.66%

44.96%

-34.30%

Volatility (1Y)

Calculated over the trailing 1-year period

14.45%

54.44%

-39.99%

Volatility (5Y)

Calculated over the trailing 5-year period, annualized

14.32%

49.55%

-35.23%

Volatility (10Y)

Calculated over the trailing 10-year period, annualized

16.24%

41.34%

-25.10%