Stock's Volatility in Focus - Vipshop Holdings Limited (NYSE:VIPS)

Stock's Volatility in Focus - Vipshop Holdings Limited (NYSE:VIPS)

Stock's Volatility in Focus - Vipshop Holdings Limited (NYSE:VIPS)

Currently, Vipshop Holdings Limited (NYSE:VIPS) closed at $15.87 by scoring -1.49%. The stock revealed activity of -6.12% for the past five days. The stock therefore has above average level of market risk.

Analyst mean recommendation rating on a stock by the analyst community is at 2.10. Meanwhile, the company retains the average true range (ATR) indicator of around about 0.76that is expressing range of a day's stock trading is high-low. On Monday, November 20 the stock of Vipshop Holdings Limited (NYSE:VIPS) has "Buy" rating given by KeyBanc Capital Markets. The stock volatility for week was 3.79% while for month was 4.70%.Beta factor, which measures the riskiness of the security, was observed as 2.33. The stock's beta is 2.33.

Share of Vipshop Holdings Limited (VIPS) have caught the attention of the Wall Street community. The price-to-sales ratio is a symbol of the value placed on each dollar of a company's sales or taxes. This is why the price to earnings ratio is often called a price multiple or earnings multiple. In other words, how many times earnings they are willing to pay. The company's Market capitalization is $10.41B with the total Outstanding Shares of 645.92M.

Vipshop Holdings Limited (VIPS) received negative focus on Friday. Over the long run, the price of a stock will generally go up in lock step with its earnings (assuming the P/E ratio is constant). For example, a stock may near its 52 week low in a price correction after earnings expectations for future quarters were revised. A P/B ratio of less than 1.0 can indicate that a stock is undervalued, while a ratio of greater than 1.0 may indicate that a stock is overvalued. Investor speculation and demand also help increase a share's price over time. Earnings per share (EPS) serve as an indicator of a company's profitability. The company has Relative Strength Index (RSI 14) of 37.85 together with Average True Range (ATR 14) of 0.80. It is suggested that a little more digging on your part behind what brokerage companies are recommending will always be to your benefit. P/E ratio is noted at 32.74. For investors, it allows a very quick snapshot of the company's finances without getting bogged down in the details of an accounting report. Active investors purchase investments and continuously monitor their activity in order to exploit profitable conditions. These ratios are other measures of operational efficiency and performance. Hence, it offers a significant benefit for short-term trader, since it stimulates the price more confidentially, and as a result, it produces less delay as compared to the long-term moving average.

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Looking at Recommendation Trends of the stock polled by Reuters. Most of traders have the same opinion that volatility shows clear cycles and relying on this belief, ATR can be used to set up entry signals.

Technical analysis of Vipshop Holdings Limited (VIPS) stock includes study of technical indicators and past trends. It is simply VIPS stock's average closing price over the last 50 days. A stock with a price that fluctuates wildly, hits new highs and lows or moves erratically is considered highly volatile. Shares of VIPS moved downward with change of -8.95% to its 50-day Moving average. We see the stock price distance from 200 day SMA at 29.43%.

Trading volume is an essential technical indicator a shareholder uses to confirm a trend or trend reversal. (NASDAQ:CSCO) reached at $43.26 price level during last trade its distance from 20 days simple moving average is 1.38%, and its distance from 50 days simple moving average is 0.72% while it has a distance of 17.60% from the 200 days simple moving average. The up-to-date direction of 200 SMA is upward. The company gives a ROE of 21.80%. A company that manages their assets well will have a high return, while if manages their assets poorly will have a low performance. A company that manages their assets well will have a high return, while if manages their assets poorly will have a low return. It does not measure the risk of an investment held on a stand-alone basis, but the amount of risk the investment adds to an already-diversified portfolio. The price target is the price an analyst believes the stock will achieve during their investment time horizon, which for most firms is 12 months.

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