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NVDA company profile

NVDA Risk-Adjusted Performance Profile

Descriptive market-risk statistics — not investment advice; past performance does not indicate future results. Price-based statistics are historical lmfin computations over a pinned Yahoo adjusted-close window. See Disclaimer.

Window: 3y ending 2026-06-30. Benchmark: SPY.

Return & risk

For NVDA over the pinned 3y window ending 2026-06-30, lmfin computes annualized return 63.21%, annualized volatility 46.92%, and maximum drawdown -36.88%. These are historical price statistics for the stated window.

Daily tail statistics for the same window are -4.25% for 95% VaR and -6.27% for 95% CVaR.

Risk-adjusted ratios

lmfin computes Sharpe 1.27, Sortino 1.91, and Calmar 1.86 from the pinned return series. grepcent reports them as mechanical ratios, not as a rating.

Market sensitivity vs SPY

Against SPY over the same window, lmfin computes beta 2.06 and alpha 26.32%. Up capture is 2.29 and down capture is 2.04.

Fundamentals pairing

To pair the market-risk profile with grepcent's verified business data, NVDA's latest reported revenue is 215,938,000,000, net margin is 55.60%, and return on equity is 76.33%.

Risk-adjusted ratio figure

NVDA risk-adjusted ratios. Source: lmfin perf; Yahoo adjusted close; window ending 2026-06-30.NVDA risk-adjusted ratiosWindow 3y ending 2026-06-30Source: lmfin perf; Yahoo adjusted close; window ending 2026-06-30.RatioRisk-adjusted ratio (ratio)0.001.002.001.27Sharpe1.91Sortino1.86Calmar

Return and risk statistics

MetricValueWindowEnd
Annualized return63.21%3y2026-06-30
Annualized volatility46.92%3y2026-06-30
Maximum drawdown-36.88%3y2026-06-30
95% daily VaR-4.25%3y2026-06-30
95% daily CVaR-6.27%3y2026-06-30

Ratios and SPY sensitivity

MetricValueWindowEnd
Sharpe ratio1.273y2026-06-30
Sortino ratio1.913y2026-06-30
Calmar ratio1.863y2026-06-30
Beta vs SPY2.063y2026-06-30
Alpha vs SPY26.32%3y2026-06-30
Up capture vs SPY2.293y2026-06-30
Down capture vs SPY2.043y2026-06-30

Verified fundamentals paired with the profile

MetricValueFYPeriod endAccession
Revenue215,938,000,00020262026-01-250001045810-26-000021
Net margin55.60%20262026-01-250001045810-26-000021
Return on equity76.33%20262026-01-250001045810-26-000021

Provenance

lmfin: lmfin 0.1.0. Command: lmfin perf NVDA --vs SPY --window 3y --end 2026-06-30 --json. Price source: yahoo; price field: adjusted_close; window start: 2023-06-30; window end: 2026-06-30. Risk-free rate input: 0.0385. Price-based statistics are computed by lmfin from Yahoo adjusted-close data over the pinned window. Fundamentals are grepcent verified SEC companyfacts. Descriptive data, not advice.