the 10 year average ROC and 10 year share price growth for every company in the S&P 500

I've just calculated the 10 year average return on capital and 10 year share price growth for every company in the $S&P 500(.SPX)$ $SPDR S&P 500 ETF Trust(SPY)$ .

Here's how each sector performs. Interesting to see some correlation between ROC and price growth.

Not all sectors produce winners.

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S&P500: here's each sector sorted by the linearity of the 10yr share price growth.

Conclusion: Tech and healthcare have the least volatile share prices, energy and real estate have the highest volatility.

https://twitter.com/long_equity/status/1775472316299788349

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