LGCL (Lucas GC) 3-Year Sortino Ratio: N/A (As of Sep. 07, 2026)

Author: Vera Yuan Vera Yuan
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Director of Data and Quant Analytics at GuruFocus
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Charlie Tian
Founder & CEO of GuruFocus
Dr. Charlie Tian is the founder and CEO of GuruFocus.com, a leading global investment research platform established in 2004. With a Ph.D. in physics, Dr. Tian transitioned from science to finance, applying a data-driven, disciplined approach to value investing.

LGCL Lucas GC Ltd LGCL
41 GF Score
Price $3.76
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What is Lucas GC 3-Year Sortino Ratio?

The 3-Year Sortino Ratio measures the additional return that an investor receives per unit of the downside risk over the past three years. As of today (2026-09-07), Lucas GC's 3-Year Sortino Ratio is Not available.


Lucas GC  (NAS:LGCL) 3-Year Sortino Ratio Explanation

The 3-Year Sortino Ratio inidicates the risk-adjusted return of an investment over the past three year. It is calculated as the annualized result of the average three-year monthly excess returns divided by the standard deviation of negative returns in the three-year period. The monthly excess return is the monthly investment return minus the monthly risk-free rate (typically the 10-year Treasury Constant Maturity Rate). If the risk-free rate for a specific region is not available, U.S. data is used by default.

Differnt from the Sharpe Ratio that penalizes both upside and downside volatility equally, the Sortino Ratio penalizes only those returns falling below a user-specified target or required rate of return. The expected returns here is set to the risk-free rate as well.


Lucas GC 3-Year Sortino Ratio Related Terms


LGCL vs OMQS, FTSP, EHVVF: 3-Year Sortino Ratio Comparison

For the Software - Application subindustry, Lucas GC's 3-Year Sortino Ratio, along with its competitors' market caps and 3-Year Sortino Ratio data, can be viewed below:

* Competitive companies are chosen from companies within the same industry, with headquarter located in same country, with closest market capitalization; x-axis shows the market cap, and y-axis shows the term value; the bigger the dot, the larger the market cap. Note that "N/A" values will not show up in the chart.


Lucas GC 3-Year Sortino Ratio vs Software Industry

For the Software industry and Technology sector, Lucas GC's 3-Year Sortino Ratio distribution charts can be found below:

* The bar in red indicates where Lucas GC's 3-Year Sortino Ratio falls into.


LGCL
41GF Score
Lucas GC Ltd LGCL
3-Year Sortino Ratio is just one metric. See GF Score™, valuation, warning signs, and more.
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Lucas GC 3-Year Sortino Ratio Calculation

The 3-Year Sortino Ratio measures the risk-adjusted return of an investment asset or portfolio in the last three year, focusing specifically on downside risk rather than total risk. A stock / portfolio's 3-Year Sortino Ratio can be calculated by dividing the difference between the three-year average monthly returns of the investment and the risk-free rate, by the standard deviation of the downside risks over the past three year.

A downside risk is a potential loss from the asset or investment. The Downside risk here is measured by the downside deviation, which is the standard deviation of negative returns.


Lucas GC Business Description

Address No. 8 Wangjing Street, Room 1109, 11/Floor, Tower A, Star Plaza, Chaoyang District, Beijing, CHN, 100102
Lucas GC Ltd is a technology-driven online agent-centric human capital management service provider targeting professionals based on PaaS in China. Its business segments consist of recruitment services, outsourcing services, and other services, which include information technology services and training services.
41GF Score

Get the complete analysis for LGCL

3-Year Sortino Ratio is just one metric. See GF Value™, 30-year financials, guru trades, warning signs, and more.

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