At the time of writing, Nuance Communications, Inc. The measure is commonly used to compare the performance of businesses within the same industry, since it is very hard for someone to obfuscate the cash flow figure. Green Square Capital Lc has invested 0.17% in Nuance Communications, Inc. (NasdaqGS:NUAN) has a Piotroski F-Score of 4. This ranking uses four ratios. These ratios are Earnings Yield, ROIC, Price to Book, and 5 year average ROIC. If RVOL is less than 1 it is not In Play on this trading day and Investors may decide not to trade it. While it's Return on Investment (ROI) value is 0.4%. PEG ratio used to determine a stock's value while taking into account the earnings' growth.
Nuance Communications, Inc. (NUAN) is expected to post revenue of $516.85 Million in the current quarter, according to consensus of 4 analysts.
A number of institutional investors and hedge funds have recently bought and sold shares of NUAN. These ratios consist of EBITDA Yield, FCF Yield, Liquidity, and Earnings Yield. (NasdaqGS:NUAN) is 8502. The lower the ERP5 rank, the more undervalued a company is thought to be.
More recent Nuance Communications, Inc. (NasdaqGS:NUAN) has a current MF Rank of 9201. The price index is calculated by dividing the current share price by the share price ten months ago. Earnings per share serves as an indicator of a company's profitability. Following volatility data can help measure how much the stock price has fluctuated over the specified time period. There are often many underlying factors that come into play with the Price to Book ratio so all additional metrics should be considered as well.
Ever wonder how investors predict positive share price momentum? The Cross SMA 50/200, also known as the "Golden Cross" is the fifty day moving average divided by the two hundred day moving average. The Piotroski F-Score of Nuance Communications, Inc. On the other side it is not a negative indicator for Investor portfolio value - when the price of a stock Investor owns moves down in value. Based on a recent bid, its distance from 20 days simple moving average is -12.34%, and its distance from 50 days simple moving average is -17.10% while it has a distance of -19.05% from the 200 days simple moving average. Canaccord Genuity maintained Nuance Communications, Inc. The company has a quick ratio of 1.54, a current ratio of 1.54 and a debt-to-equity ratio of 1.22. In Play Stocks are volatile enough to produce good risk and reward trading opportunities for both bull and bear traders intraday. The stock of Nuance Communications, Inc. Similar statistics are true for the second largest owner, Ameriprise Financial Inc, which owns 21,841,942 shares of the stock are valued at $294.87 million.
Analysts Mean Recommendation/Target Price/Volume: The stock exchanged hands with 6260905 numbers of shares contrast to its average daily volume of 1.15M shares.
The Earnings to Price yield of Nuance Communications, Inc. (NasdaqGS:NUAN) is 26.7861. The Volatility 6m is the same, except measured over the course of six months. The Volatility 6m is 30.1191. Signition LP acquired a new stake in shares of Nuance Communications in the first quarter valued at about $167,000. (NasdaqGS:NUAN) has a Q.i. The F-Score may help discover companies with strengthening balance sheets. This M-score model was developed by Messod Beneish in order to detect manipulation of financial statements. (NasdaqGS:NUAN) is 4. A score of nine indicates a high value stock, while a score of one indicates a low value stock. This score is derived from the Gross Margin (Marx) stability and growth over the previous eight years.
BidaskClub upgraded shares of Nuance Communications (NASDAQ:NUAN) from a strong sell rating to a sell rating in a report released on Tuesday, May 8th. The M-Score is based on 8 different variables: Days' sales in receivables index, Gross Margin Index, Asset Quality Index, Sales Growth Index, Depreciation Index, Sales, General and Administrative expenses Index, Leverage Index and Total Accruals to Total Assets. With this ratio, investors can better estimate how well a company will be able to pay their long and short term financial obligations. The score is a number between one and one hundred (1 being best and 100 being the worst). Typically, the lower the value, the more undervalued the company tends to be.