Safran (SAF-PA)

EURO STOXX 50 · Industrials · data since 2000-01-03 · last close 2026-07-24

1d
+2.61%
7d
+0.09%
30d
-2.54%
YTD
+12.14%
1y
+19.49%

Safran (SAF-PA) monthly returns (%)

YearJanFebMarAprMayJunJulAugSepOctNovDec
20261.213.0-17.8-2.313.212.9-4.4·····
202513.14.3-3.2-3.713.45.54.9-1.65.32.6-5.72.5
20248.811.78.4-2.85.9-7.82.9-2.56.6-1.66.1-3.8
202312.71.61.93.2-3.05.95.2-1.80.2-1.19.5-1.0
2022-1.07.6-6.5-3.8-6.3-2.113.6-4.8-7.719.94.2-0.4
2021-10.28.82.57.0-1.1-4.5-5.7-3.73.25.8-14.99.0
20206.0-15.0-35.45.11.93.90.38.5-13.07.235.1-5.2
20198.64.72.06.3-8.09.50.81.89.3-1.84.7-7.3
20185.8-0.0-5.413.36.51.91.95.97.5-5.5-3.2-4.5
2017-8.47.14.38.63.72.9-0.42.15.94.6-1.0-4.0
2016-6.4-3.97.3-2.16.1-3.3-0.23.12.1-2.13.46.7
201515.56.33.31.3-1.3-5.613.31.1-3.32.71.1-7.9
20144.5-3.3-1.4-3.74.1-4.0-8.213.73.0-1.73.0-0.4
20134.13.7-0.87.210.2-0.810.0-4.88.43.42.95.3
20122.65.69.51.6-0.86.6-5.50.90.59.72.64.1
2011-0.8-2.4-3.37.27.84.3-1.4-3.8-17.12.2-7.37.0
20103.621.811.7-0.415.55.2-9.8-6.46.310.56.010.2
20090.6-17.4-13.329.61.93.315.418.1-0.1-14.11.322.8
2008-21.921.4-2.54.23.8-9.5-11.611.51.3-19.52.9-3.7
20073.5-4.75.4-2.68.7-0.7-2.9-6.0-2.33.4-24.15.6
20067.6-1.8-2.1-2.7-13.8-0.9-10.511.8-6.411.2-8.58.3
2005-1.515.2-1.9-8.4-2.411.27.0-8.37.0-7.69.211.5
200410.0-3.50.40.6-0.12.0-11.2-5.40.1-7.4-3.113.4
20031.9-8.52.217.9-1.3-1.015.31.7-2.09.15.9-8.6
20023.0-1.6-2.5-6.612.6-4.1-8.410.2-15.628.3-2.4-11.1
2001-12.9-8.5-22.44.5-8.2-31.3-2.7-8.4-20.226.718.712.0
200021.739.317.1-0.1-8.0-2.5-26.73.4-22.0-14.8-38.312.0
Avg2.73.8-1.62.92.3-0.1-0.71.4-1.72.70.32.8

Values in %. Current and first-listed months are partial (greyed).

returnsview.com

Seasonality — average by calendar month

MonthJanFebMarAprMayJunJulAugSepOctNovDec
Avg+2.7%+3.8%-1.6%+2.9%+2.3%-0.1%-0.6%+1.4%-1.6%+2.7%+0.3%+2.8%
Win rate70%/2756%/2748%/2756%/2756%/2748%/2746%/2654%/2658%/2658%/2662%/2654%/26

Win rate = share of positive months / sample size.

Risk & extremes

Max drawdown
-93.9%
Worst peak-to-trough fall on record
Monthly volatility
±9.7%
Std. dev. of monthly returns
Positive months
55%
Share of completed months in the green
Best month
+39.28%
2000-02
Worst month
-38.29%
2000-11
Longest streaks
7▲ / 6▼
Consecutive up / down months

Drawdown & rolling returns

-91%-46%0%

Percent below the all-time high at each month-end — how far underwater the asset was.

About Safran

Safran measures its order book in years, not quarters — with price receipts on this site going back to 2000. And the long game: $100 at its first close here (2000) would be about $921 today.

Did you know?

  • Its best month on record was February 2000 at +39.28%; its worst, November 2000 at -38.29%.
  • It has closed January in the green 19 out of 27 times — past performance, future shrug.

Trivia for entertainment — the numbers come from our price data; the jokes don't.