The stock, as of last close, traded 2.42% away to its 52 week low and was at a distance of -35.11% from its 52 week high. The stock has already come down "considerably" this year, but it still has further to fall, as Moskow expects consensus revenue and profit estimates will be revised lower. Average True Range (ATR) is an indicator based on trading ranges smoothed by an N-period exponential moving average percentage of the true range values. Its 52-week high and low range is $50.79 and $33.37, respectively. Wilder created Average True Range to capture this "missing" volatility.
ATR value of company was 1.27.
If we look at the Volatility of the company, Week Volatility is 1.61%, whereas Month Volatility is at 2.17%. (NYSE:ERI) closed at $41.40 by scoring 15.97%.
Trading volume is a gauge of how many times a stock is bought and sold in a given time period (most commonly, within a day of trading, known as the average daily trading volume - ADTV). The company has a debt-to-equity ratio of 0.43, a quick ratio of 0.44 and a current ratio of 0.72. At current levels, The Bank of Nova Scotia (NYSE:BNS) shares have been seen trading -1.13% away from the 20-day moving average. The Price to Sales (P/S) of the company is 2.87, while P/B (Price to Book) stands at 1.12.
For the trailing twelve months, this company is paying dividend with the payout ratio of 4.10% to its shareholders. Morgan Stanley decreased their price target on shares of Heinz from $88.00 to $80.00 and set an "overweight" rating on the stock in a research report on Tuesday, February 20th. Five investment analysts have rated the stock with a sell rating, four have issued a hold rating, thirteen have issued a buy rating and one has assigned a strong buy rating to the company. Over the past week, shares are 0.51%. (NASDAQ:MYL) are owned by insiders with -14.13% six-month change in the insider ownership. The stock has relative volume of 0.70. A high degree of volume indicates a lot of interest in a stock. And for the whole year, the stock performance is estimated at. As a result, the company has Earnings per Share (EPS) growth of 6.63% for the coming year. The impact of earnings growth is exponential. High volatility can make entering or an exit a stock expensive, it can also exacerbate price increases and potential profits to the upside and downside. However, YTD EPS growth remained -3.99%.
The The Kraft Heinz Company exchanged hands with 3715086 shares compared to its average daily volume of 5.32M shares. MYL's total market worth is $21.24B. The stock is now showing its Return on Assets (ROA) value of 9.2 Percent.
The stock has a market cap of $75.19B and the number of outstanding shares has been calculated 1.23B. The lower end of the projection is $0.94 per share, while the higher end is $1.05 per share. Most company stocks have very little volatility.
Beta is important because it measures the risk of an investment that can not be reduced by diversification. The process involves spotting the amount of risk involved and either accepting or mitigating the risk linked with an investment.
Another common measure of risk is Beta. For example, a stock that has a high standard deviation experiences higher volatility, and therefore, a higher level of risk is associated with the stock. Alpha Beta Stock (ABS) makes sure to keep the information up to date and correct, but we didn't suggest or recommend buying or selling of any financial instrument unless that information is subsequently confirmed on your own. Commodities are normally more volatile than stocks. In the same way a stock's beta shows its relation to market shifts, it is also an indicator for required returns on investment (ROI).
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