During the same quarter in the previous year, the company earned $0.48 earnings per share. Active and passive shareholders always require every bit of information available regarding his chosen security and this include keeping a close watch on fundamental and technical data. Conversely, if a security's beta is less than 1, it indicates that the security is less volatile than the market.
From there, we look at the performance of the week, all the way to a year. During the yearly overview it upgraded 15.37% and Showed 0.00% year to date performance. The stock deteriorated -7.17% during the past three month period and escalated 4.17% in half year.
Analyst notified mean rating at 2.20 after consensus analysis. The firm has a market cap of $49,214.99, a price-to-earnings ratio of 23.63, a PEG ratio of 1.35 and a beta of 1.21. A Beta is an evaluate the volatility, or systematic risk, of a security or a portfolio in contrast to the market as a whole.
Volatility is the degree of variation of a trading price series over time as measured by the standard deviation of logarithmic returns. The higher the level of historical volatility, the more that the stock has moved in recent history. This volatility expressed as a percentage coefficient within option-pricing formulas, arises from daily trading activities. Confine focus to firm performance, its weekly performance was 0.92% and monthly performance was -2.38%.
CSX stock traded down $0.52 during midday trading on Friday, reaching $55.59. Tracking current stock price levels in relation to some other popular moving averages, we have noted that the stock is trading -0.56% away from the 50-day MA and -1.24% off of the 20-day MA. Moving averages (MA) are one of the most accepted and often-used technical indicators. On the surface, it seems as the higher the 50-day moving average goes, the more bullish the market is (and the lower it goes, the more bearish).
By implementing the simple moving average system, short-term traders can evaluate the stocks effortlessly as compared to the long-term moving average. The Average True Range is an exponential moving average (14-days) of the True Ranges. In general, traders ca boost the responsiveness of a moving average by decreasing the period and smooth out movements by increasing the period. CSX Co. has a 1-year low of $46.04 and a 1-year high of $60.04.
CSX Corporation (CSX) stock price recognized positive trend built on latest movement of 200 SMA with 4.68% during the course of recent market activity. The stock has been moved at 4.17% over the last six months and 15.37% throughout last twelve months.
The NMI Holdings, Inc. is having a distance of -8.94% form 20 day moving average, SMA 50 of -18.58% and an SMA 200 of -2.74%.NMI Holdings, Inc. a U.S. based Company, belongs to Financial sector and Surety & Title Insurance industry. Now it has a market worth of $49929.27M. Earnings per share (EPS) are the portion of a company's profit allocated to each outstanding share of common stock.
NMIH institutional ownership is held at 89.2% while insider ownership was 1.6%.
Several other hedge funds and other institutional investors also recently added to or reduced their stakes in CSX. This indicator compares the closing price of a stock in relation to the highs and lows over a certain time period. The firm offers rail services, as well as transports intermodal containers and trailers.The P/E ratio is 9.23. Its P/Cash valued at 121.55. Captivating a peek at sell-side analyst insights, we can understand that the recent mean target price for the company is $63.39. Analysts therefore consider the investment a net gain. It represents a security's price that, if achieved, results in a trader recognizing the best possible outcome for his investment. Earnings per share growth this year is 18.90% and next year growth is projected at 17.86%. Company's EPS for the past five years is valued at 22.8%, leading it to an EPS value of 64.89% for the next five years. The ratio between current volume and 3-month average value, also known as Relative volume was observed at 0.71, validating the stock's In Play state. This repurchase authorization authorizes the transportation company to reacquire shares of its stock through open market purchases. It has dividend yield of 1.60% and Payout Ratio is 12.80%. Conversely, if an ETF's beta is 0.65, it is theoretically 35% less volatile than the market. The stock price changed 0.92% in the past week. The stock price is moving from its 200 days moving average with -3.53 percent and from 50 days moving average with -8.45 percent.
The losses followed a strong session Tuesday in which stocks rallied after a conciliatory speech by Chinese President Xi Jinping raised hopes a US-China trade war could be averted. Kimberly-Clark Corporation, belongs to Consumer Goods sector and Personal Products industry. When stocks are *very* In Play one can see a RVOL of 5 and above. For the past 5 years, The Company's EPS growth has been almost 3.70%.