Veolia Environnement S.A. (VIE) Daily/Weekly Backtest Results
*Transaction costs, taxes and dividends are excluded from these calculations. Past performance may not necessarily be a reliable guide to future performance.
Veolia Environnement Analysis
Market sector: Industrials.
52 Week Low Backtest Summary (Fixed Profits System)
This table summarises how profitable it would have been to have bought this stock at each 52 week low entry signal. Hover over the icons to see more details of the particular trade, including the maximum percentage drawdown and how long it took to reach the desired percentage profit.
Key:
= profit point not achieved.
= profit point achieved with CAGR above 15%.
= profit point achieved with CAGR of between 5% and 15%.
= profit point achieved but CAGR was less than 5%.
| Signal Date and Score | Buy Signal | Price | Performance (mouseover for details) | ||||
|---|---|---|---|---|---|---|---|
| 5% | 6% | 7.5% | 10% | 20% | |||
| 13 January 2025 40 | 52 Week Low | € 26.32 | |||||
| 27 November 2024 30 | 52 Week Low | € 27.12 | |||||
The data for Veolia Environnement S.A. (exchange: XPAR symbol: VIE) was last updated 27 Mar 2026 11:27. Data for this stock is available from 01 Apr 2022 - 26 Mar 2026.
