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| Financial Asset | Accuracy | Previous Close | Prediction | Close Price | ROI |
|---|---|---|---|---|---|
| Upwork (UPWK) | 85.76% | $14.77 | $13.7 | $14.03 | 5.01% ✅ |
| Geo Group (GEO) | 86.94% | $9.19 | $9.22 | $9.35 | 1.74% ✅ |
| BioNTech SE (BNTX) | 88.75% | $163.43 | $163.72 | $164.9 | 0.9% ✅ |
| Genmab (GMAB) | 88.86% | $43.15 | $43.87 | $43.5 | 0.81% ✅ |
| International Business Machines (IBM) | 88.91% | $144.01 | $146.93 | $144.52 | 0.35% ✅ |
| Air Products and Chemicals (APD) | 88.5% | $294.25 | $304.42 | $295.12 | 0.3% ✅ |
| Atrion (ATRI) | 91.76% | $625 | $640.47 | $626.27 | 0.2% ✅ |
| Rogers Communication (RCI) | 89.08% | $43.21 | $44.12 | $43.08 | -0.3% |
| AT&T (T) | 89.34% | $19.03 | $19.21 | $18.93 | -0.53% |
| Moderna (MRNA) | 86.14% | $186.24 | $188.83 | $185.25 | -0.53% |
| First Majestic Silver (AG) | 87.42% | $9.22 | $9.38 | $9.17 | -0.54% |
| Comcast Corporation (CMCSA) | 88.43% | $34.21 | $34.99 | $33.98 | -0.67% |
| MarketAxess Holdings (MKTX) | 92.43% | $264.53 | $267.65 | $262.24 | -0.87% |
| TE Connectivity (TEL) | 88.3% | $126.92 | $129.33 | $125.76 | -0.91% |
| America Movil (AMX) | 89.47% | $20.05 | $20.23 | $19.86 | -0.95% |
| Genuine Parts Company (GPC) | 87.72% | $181.73 | $183.33 | $179.9 | -1.01% |
| America Movil (AMOV) | 89.23% | $19.88 | $20.05 | $19.6 | -1.41% |
| MGM Resorts (MGM) | 87.62% | $37.61 | $38.07 | $37.02 | -1.57% |
| Amkor Technology (AMKR) | 87.85% | $28.42 | $29.87 | $27.95 | -1.65% |
| Cooper Companies (COO) | 87% | $315.64 | $317.01 | $310.35 | -1.68% |
| Raymond James Financial (RJF) | 89.13% | $122.88 | $123.04 | $120.53 | -1.91% |
| Celanese (CE) | 86.43% | $102.87 | $103.03 | $100.55 | -2.26% |
| STMicroelectronics (STM) | 87.62% | $38.71 | $39.21 | $37.81 | -2.32% |
| Logitech (LOGI) | 87.48% | $61.94 | $62.6 | $59.37 | -4.15% |
| AMD (AMD) | 92.29% | $76.3 | $78.32 | $72.7 | -4.72% |
1. Upwork (UPWK)
Shares of Upwork rose 7.54% in from $13.26 to $14.26 at 21:29 EST on Wednesday, after two sequential sessions in a row of losses. NASDAQ is sliding 1.54% to $11,183.66, following the last session's downward trend.
Upwork Inc. and its affiliates operate a marketplace for work that links businesses to independent professionals and agencies throughout the United States, India and the Philippines.
Earnings Per Share
As for profitability, Upwork has a trailing twelve months EPS of $-0.19.
The company's return on equity, which measures the profitability of a business relative to shareholder's equity, for the twelve trailing months is negative -28.99%.Classification of Stock Prices
The stochastic oscillator is a helpful indicator for overbought or oversold situations.Stocks of Upwork are considered oversold by the company (=20).
More news about Upwork.
2. Geo Group (GEO)
Shares of Geo Group jumped 9.23% in from $8.56 to $9.35 at 21:29 EST on Wednesday, after five sequential sessions in a row of gains. NYSE is dropping 0.75% to $15,265.25, following the last session's downward trend.
The GEO Group, Inc. (NYSE: GEO) is a leading diversified government service provider, specializing in design, financing, development, and support services for secure facilities, processing centers, and community reentry centers in the United States, Australia, South Africa, and the United Kingdom.
Earnings per Share
Geo Group's trailing twelve-month EPS is $0.94.
PE Ratio
Geo Group's trailing 12-month price-earnings ratio is 9.95. The purchaser of the shares is therefore investing $9.95 per dollar in annual earnings.
For the 12 trailing months, the company's return-on-equity, which is a measure of the business' profitability relative to shareholders' equity, was 7.46%.Volatility
Geo Group's intraday variation average for the week and quarter ended last week at 2.36%. 0.41% and 2.61% respectively.
Geo Group had the highest average volatility amplitudes of 2.36%, 2.31% and 2.61% respectively in last week and quarter.
More news about Geo Group.
3. BioNTech SE (BNTX)
Shares of BioNTech SE jumped by a staggering 18.68% in from $138.94 to $164.89 at 21:29 EST on Wednesday, after three sequential sessions in a row of gains. NASDAQ is falling 1.54% to $11,183.66, following the last session's downward trend.
BioNTech SE is a biotechnology company that develops and markets immunotherapies against cancer and other diseases.
Earnings Per Share
As for profitability, BioNTech SE has a trailing twelve months EPS of $31.54.
PE Ratio
BioNTech SE has a trailing twelve months price to earnings ratio of 5.23. Meaning, the purchaser of the share is investing $5.23 for every dollar of annual earnings.
The company's return on equity, which measures the profitability of a business relative to shareholder's equity, for the twelve trailing months is 105.3%.Volume
BioNTech SE's current volume is 749375. This is 14.77% less than its average volume, 879306.
Moving Average
BioNTech SE is worth more than its $50-day moving mean of $139.40, and over its $200-day moving mean of $152.30.Yearly Top and Bottom Value
BioNTech SE's stock is valued at $164.89 at 21:29 EST, way below its 52-week high of $374.58 and way higher than its 52-week low of $117.08.
More news about BioNTech SE.
4. Genmab (GMAB)
Shares of Genmab jumped by a staggering 16.54% in from $37.43 to $43.62 at 21:29 EST on Wednesday, after three sequential sessions in a row of gains. NASDAQ is sliding 1.54% to $11,183.66, following the last session's downward trend.
Genmab A/S develops antibody therapeutics for the treatment of cancer and other diseases primarily in Denmark.
Earnings Per Share
As for profitability, Genmab has a trailing twelve months EPS of $0.66.
PE Ratio
Genmab has a trailing twelve months price to earnings ratio of 65.98. Meaning, the purchaser of the share is investing $65.98 for every dollar of annual earnings.
The company's return on equity, which measures the profitability of a business relative to shareholder's equity, for the twelve trailing months is 17.71%.Volatility
Genmab's last week, last month's, and last quarter's current intraday variation average was a negative 0.01%, a positive 0.52%, and a positive 1.71%.
Genmab's highest amplitude of average volatility was 1.97% (last week), 1.90% (last month), and 1.71% (last quarter).
Yearly Top and Bottom Value
Genmab's stock is valued at $43.62 at 21:29 EST, way below its 52-week low of $26.19.
Stock Price Classification
According to the stochastic oscillator, a useful indicator of overbought and oversold conditions,Genmab's stock is considered to be oversold (<=20).
Moving Average
Genmab is worth more than its moving average for 50 days of $36.56 (and its moving average for 200 days of $34.40).More news about Genmab.
5. International Business Machines (IBM)
Shares of International Business Machines rose by a staggering 19.08% in from $121.52 to $144.71 at 21:29 EST on Wednesday, after five sequential sessions in a row of gains. NYSE is dropping 0.75% to $15,265.25, following the last session's downward trend.
International Business Machines Corporation offers integrated solutions and global services.
Earnings per Share
International Business Machines' trailing 12 months profit per share was $5.98.
PE Ratio
International Business Machines' trailing 12 months earnings to price ratio is 24.21. The purchaser of the shares is therefore investing $24.21 per dollar in annual earnings.
For the 12 trailing months, the company's return-on-equity, which is a measure of the profitability of a company relative to shareholders' equity, was 27.09%.More news about International Business Machines.
6. Air Products and Chemicals (APD)
Shares of Air Products and Chemicals jumped by a staggering 24.62% in from $237.35 to $295.79 at 21:29 EST on Wednesday, following the last session's upward trend. NYSE is falling 0.75% to $15,265.25, following the last session's downward trend.
Air Products and Chemicals, Inc. provides atmospheric gases, process and specialty gases, equipment, and services worldwide.
Earnings Per Share
As for profitability, Air Products and Chemicals has a trailing twelve months EPS of $8.51.
PE Ratio
Air Products and Chemicals has a trailing twelve months price to earnings ratio of 34.75. Meaning, the purchaser of the share is investing $34.75 for every dollar of annual earnings.
The company's return on equity, which measures the profitability of a business relative to shareholder's equity, for the twelve trailing months is 16.17%.More news about Air Products and Chemicals.
7. Atrion (ATRI)
Shares of Atrion jumped 1.31% in from $613.02 to $621.05 at 21:29 EST on Wednesday, following the last session's upward trend. NASDAQ is dropping 1.54% to $11,183.66, following the last session's downward trend.
Atrion Corporation and its subsidiaries develop, manufacture, and market products for fluid delivery and cardiovascular applications. They do this in the United States of America, Canada, Europe and globally.
Earnings Per Share
As for profitability, Atrion has a trailing twelve months EPS of $17.44.
PE Ratio
Atrion has a trailing twelve months price to earnings ratio of 35.61. Meaning, the purchaser of the share is investing $35.61 for every dollar of annual earnings.
The company's return on equity, which measures the profitability of a business relative to shareholder's equity, for the twelve trailing months is 14.34%.Yearly Top and Bottom Value
Atrion's stock is valued at $621.05 at 21:30 EST, way under its 52-week high of $789.99 and way higher than its 52-week low of $542.10.
Dividend Yield
Morningstar, Inc. has stated that the next dividend payment will be on Sep 13, 2022. The forward dividend rate for 2020 is 8,6. And the forward dividend yield is 1,25%.
More news about Atrion.
8. Rogers Communication (RCI)
Shares of Rogers Communication jumped by a staggering 13.16% in from $38.08 to $43.09 at 21:29 EST on Wednesday, after four consecutive sessions in a row of losses. NYSE is falling 0.75% to $15,265.25, following the last session's downward trend.
Rogers Communications Inc. is a Canadian communications and media company.
Earnings per Share
Rogers Communication's trailing twelve-month EPS is $2.57.
PE Ratio
Rogers Communication's trailing 12 months earnings to price ratio is 16.75. The purchaser of the shares is therefore investing $16.75 per dollar in annual earnings.
For the 12 trailing months, the company's return-on-equity, which is a measure of the profitability and shareholder equity for a business, was 16.22%.Moving Average
Rogers Communication's value is higher than its 50-day moving average of $40.52 and way under its 200-day moving average of $48.15.Volatility
Rogers Communication last week's and last month's intraday variations averages were 0.07% and 0.65% respectively.
Rogers Communication had the highest average volatility amplitudes of 1.01%, 1.22% and 1.33% in last week.
Volume
Rogers Communication's current reported volume is 208445, which is 49.23% lower than its average volume (41067)
Growth Estimates Quarters
For the current quarter, the company expects to grow by a negative 2.5% or 7.8% and for the future it will be a positive 7.8%.More news about Rogers Communication.
9. AT&T (T)
Shares of AT&T rose by a staggering 23.64% in from $15.31 to $18.93 at 21:29 EST on Wednesday, after four consecutive sessions in a row of losses. NYSE is sliding 0.75% to $15,265.25, following the last session's downward trend.
AT&T Inc. provides telecommunications, media, and technology services worldwide.
Earnings per Share
AT&T's trailing 12 months profit per share is $-0.34.
For the 12 trailing months, the company's return-on-equity, which is a measure of the profitability and shareholder equity for a company, was 11.92%.Stock Price Classification
According to the stochastic oscillator, a useful indicator of overbought and oversold conditions,AT&T's stock is considered to be overbought (>=80).
Moving Average
AT&T's current value is much higher than its $50-day moving mean of $16.73 or its $200-day moving median of $18.49.Growth Estimates Quarters
For the current quarter, the company expects a decline of 26.9% in growth and for the next one, a decrease of 16.9% respectively.More news about AT&T.
10. Moderna (MRNA)
Shares of Moderna jumped by a staggering 32.83% in from $139.25 to $184.97 at 21:29 EST on Wednesday, following the last session's downward trend. NASDAQ is dropping 1.54% to $11,183.66, following the last session's downward trend.
Moderna, Inc. is a biotechnology firm that discovers, develops, commercializes, and markets messenger RNA therapeutics, vaccines, and other treatments for infectious diseases, immunooncology, rare disease, heart diseases, auto-immune disorders, and others in the United States, Europe, as well as internationally.
Earnings per Share
Moderna's trailing 12 month EPS is $-1.96.
11.3.86% is the company's return-on-equity, which measures profitability relative to shareholders' equity.Annual Top and Bottom Value
Moderna stock was valued at $184.97 as of 21:30 EST. This is way below its 52 week high of $376.65, and far above its 52 week low of $115.03.
Volatility
Moderna's intraday variation average for the last week, month, and quarter was 2.411%, 0.700%, and 2.944%, respectively.
Moderna had the highest levels of volatility amplitude: 2.47% last week, 3.65% last month and 2.944% in its final quarter.
More news about Moderna.
11. First Majestic Silver (AG)
Shares of First Majestic Silver jumped by a staggering 17.56% in from $7.8 to $9.17 at 21:29 EST on Wednesday, after two successive sessions in a row of losses. NYSE is dropping 0.75% to $15,265.25, following the last session's downward trend.
First Majestic Silver Corp. engages in the acquisition, exploration, development, and production of mineral properties with a focus on silver and gold production in North America.
Earnings per Share
First Majestic Silver's trailing twelve-month EPS is $0.11.
PE Ratio
First Majestic Silver's trailing 12-month price-to-earnings ratio is 84.91. The purchaser of the shares is therefore investing $84.91 per dollar in annual earnings.
For the 12 trailing months, the company's return-on-equity, which is a measure of the profitability and shareholder equity for a company, was negative at -7.17%.Growth Estimates Quarters
For the current quarter, the company expects to grow by 57.1% while it will drop by 200% in the following.Volatility
First Majestic Silver had a negative week and last month. The current intraday variation was a negative 1.077%, positive 0.49% and positive 3.59%.
First Majestic Silver had the highest average volatility amplitude at 2.29%, 3.58% and 3.59% respectively (last week, last month, and last quarter).
Sales Growth
First Majestic Silver's sales growth is 25.2% for the present quarter and negative 17.5% for the next.
More news about First Majestic Silver.
12. Comcast Corporation (CMCSA)
Shares of Comcast Corporation jumped by a staggering 10.25% in from $30.82 to $33.98 at 21:29 EST on Wednesday, following the last session's downward trend. NASDAQ is falling 1.54% to $11,183.66, following the last session's downward trend.
Comcast Corporation is a global media and technology company.
Earnings per Share
Comcast Corporation's trailing 12 months EPS is $2.53.
PE Ratio
Comcast Corporation's trailing 12-month price-earnings ratio is 13.43. The purchaser of the shares is therefore investing $13.43 per dollar in annual earnings.
For the 12 trailing months, the company's return-on-equity, which is a measure of the business' profitability relative to shareholders' equity, was 14.34%.More news about Comcast Corporation.
13. MarketAxess Holdings (MKTX)
Shares of MarketAxess Holdings jumped by a staggering 11.2% in from $235.85 to $262.27 at 21:29 EST on Wednesday, after three successive sessions in a row of losses. NASDAQ is sliding 1.54% to $11,183.66, following the last session's downward trend.
MarketAxess Holdings Inc. and its subsidiaries operate an electronic trading platform that allows institutional investors to trade with broker-dealer firms worldwide.
Earnings per Share
MarketAxess Holdings' trailing 12 months EPS is $8.
PE Ratio
MarketAxess Holdings' trailing 12-month price-to-earnings ratio is 32.78. The purchaser of the shares is therefore investing $32.78 per dollar in annual earnings.
For the 12 trailing months, the company's return-on-equity, which is a measure of the profitability and shareholder equity for a business, was 23.45%.More news about MarketAxess Holdings.
14. TE Connectivity (TEL)
Shares of TE Connectivity rose by a staggering 12.38% in from $111.91 to $125.77 at 21:29 EST on Wednesday, after two sequential sessions in a row of losses. NYSE is dropping 0.75% to $15,265.25, following the last session's downward trend.
TE Connectivity Ltd., together with its subsidiaries, manufactures and sells connectivity and sensor solutions in Europe, the Middle East, Africa, the Asia–Pacific, and the Americas.
Earnings per Share
TE Connectivity's trailing 12 month EPS is $3.24.
PE Ratio
TE Connectivity's trailing 12-month price-earnings ratio is 38.83. The purchaser of the shares is therefore investing $38.83 per dollar in annual earnings.
For the 12 trailing months, the company's return-on-equity, which is a measure of the profitability for a business relative shareholder equity, was 24.28%.Sales Growth
TE Connectivity's sales growth for the current quarter is 10.8%.
Revenue growth
The year-on-year revenue growth was 6.6%. It now stands at 15.74B in the 12 trailing months.
Annual Top and Bottom Value
TE Connectivity stock was valued at $125.77 as of 21:31 EST. This is way lower than its 52 week high of $166.44, and much higher than its 52-week low at $104.76.
More news about TE Connectivity.
15. America Movil (AMX)
Shares of America Movil rose by a staggering 19.35% in from $16.64 to $19.86 at 21:29 EST on Wednesday, after two sequential sessions in a row of losses. NYSE is sliding 0.75% to $15,265.25, following the last session's downward trend.
America Movil, S.A.B. de C.V. offers telecommunications services throughout Latin America as well as internationally.
Earnings per Share
America Movil's trailing twelve-month EPS is $1.16.
PE Ratio
America Movil's trailing 12 months earnings to price ratio is 17.12. The purchaser of the shares is therefore investing $17.12 per dollar in annual earnings.
For the 12 trailing months, the company's return-on-equity, which is a measure of the profitability and shareholder equity for a business, was 22.78%.Revenue growth
The year-on-year revenue growth was 1.8%. It now stands at 871.29B in the 12 trailing months.
Stock Price Classification
According to the stochastic oscillator, a useful indicator of overbought and oversold conditions,America Movil's stock is considered to be overbought (>=80).
Volume
Today's last reported volume for America Movil is 852738 which is 59.04% below its average volume of 2082160.
More news about America Movil.
16. Genuine Parts Company (GPC)
Shares of Genuine Parts Company rose by a staggering 13.81% in from $158.24 to $180.09 at 21:29 EST on Wednesday, following the last session's downward trend. NYSE is sliding 0.75% to $15,265.25, following the last session's downward trend.
Genuine Parts Company distributes automotive replacement parts, and industrial parts and materials.
Earnings Per Share
As for profitability, Genuine Parts Company has a trailing twelve months EPS of $0.37.
PE Ratio
Genuine Parts Company has a trailing twelve months price to earnings ratio of 493.4. Meaning, the purchaser of the share is investing $493.4 for every dollar of annual earnings.
The company's return on equity, which measures the profitability of a business relative to shareholder's equity, for the twelve trailing months is 34.52%.Stock Price Classification
According to the stochastic oscillator, a useful indicator of overbought and oversold conditions,Genuine Parts Company's stock is considered to be oversold (<=20).
Volume
Today's last reported volume for Genuine Parts Company is 772414 which is 18.72% below its average volume of 950421.
More news about Genuine Parts Company.
17. America Movil (AMOV)
Shares of America Movil rose by a staggering 20.47% in from $16.27 to $19.60 at 21:29 EST on Wednesday, after two consecutive sessions in a row of losses. NASDAQ is dropping 1.54% to $11,183.66, following the last session's downward trend.
América Móvil, S.A.B. de C.V. provides telecommunications services in Latin America and internationally.
Earnings Per Share
As for profitability, America Movil has a trailing twelve months EPS of $1.16.
PE Ratio
America Movil has a trailing twelve months price to earnings ratio of 16.9. Meaning, the purchaser of the share is investing $16.9 for every dollar of annual earnings.
The company's return on equity, which measures the profitability of a business relative to shareholder's equity, for the twelve trailing months is 22.78%.Yearly Top and Bottom Value
America Movil's stock is valued at $19.60 at 21:31 EST, way below its 52-week high of $22.57 and way above its 52-week low of $15.86.
Dividend Yield
According to Morningstar, Inc., the next dividend payment is on Aug 24, 2022, the estimated forward annual dividend rate is 0.64 and the estimated forward annual dividend yield is 3.51%.
Volume
America Movil's current reported volume is 9341, which is 73.68% higher than its average volume (55378).
Revenue growth
The year-over-year growth in quarterly revenue was 1.8%. 871.29B is now the total for twelve trailing months.
More news about America Movil.
18. MGM Resorts (MGM)
Shares of MGM Resorts jumped by a staggering 14.91% in from $32.25 to $37.06 at 21:29 EST on Wednesday, following the last session's downward trend. NYSE is sliding 0.75% to $15,265.25, following the last session's downward trend.
MGM Resorts International, through its subsidiaries, owns and operates casino, hotel, and entertainment resorts in the United States and Macau.
Earnings per Share
MGM Resorts' trailing 12 month EPS is $-4.36.
For the 12 trailing months, the company's return-on-equity, which is a measure of the profitability and shareholder equity for a business, was 32.79%.Growth Estimates Quarters
For the current quarter, the company expects to grow by 666.7% and 8.3% respectively.Average Moving
MGM Resorts's market value is much higher than the $33.05 moving average for 50 days and $35.96 moving average for 200 days.Volume
Today's last reported volume for MGM Resorts is 2726970 which is 51.29% below its average volume of 5599410.
More news about MGM Resorts.
19. Amkor Technology (AMKR)
Shares of Amkor Technology rose by a staggering 57.02% in from $17.8 to $27.95 at 21:29 EST on Wednesday, following the last session's downward trend. NASDAQ is sliding 1.54% to $11,183.66, following the last session's downward trend.
Amkor Technology, Inc. provides outsourced semiconductor packaging and test services in the United States, Japan, Europe, the Middle East, Africa, and the rest of the Asia Pacific.
Earnings per Share
Amkor Technology's trailing 12 months profit per share is $1.63
PE Ratio
Amkor Technology's trailing 12-month price-to-earnings ratio is 17.17. The purchaser of the shares is therefore investing $17.17 per dollar in annual earnings.
For the 12 trailing months, the company's return-on-equity, which is a measure of the profitability of a company relative to shareholders' equity, was 26.14%.Dividend Yield
Morningstar, Inc. estimates that the next dividend payment will be made on September 1, 2022. The forward dividend rate for the year is estimated at 0.2, and the forward dividend yield to be 0.79%.
More news about Amkor Technology.
20. Cooper Companies (COO)
Shares of Cooper Companies rose by a staggering 19.25% in from $260.11 to $310.18 at 21:29 EST on Wednesday, following the last session's downward trend. NYSE is dropping 0.75% to $15,265.25, following the last session's downward trend.
The Cooper Companies, Inc., together with its subsidiaries, develops, manufactures, and markets contact lens wearers.
Earnings Per Share
As for profitability, Cooper Companies has a trailing twelve months EPS of $45.38.
PE Ratio
Cooper Companies has a trailing twelve months price to earnings ratio of 6.83. Meaning, the purchaser of the share is investing $6.83 for every dollar of annual earnings.
The company's return on equity, which measures the profitability of a business relative to shareholder's equity, for the twelve trailing months is 6.21%.Revenue Growth
Year-on-year quarterly revenue growth grew by 10.5%, now sitting on 3.22B for the twelve trailing months.
More news about Cooper Companies.
21. Raymond James Financial (RJF)
Shares of Raymond James Financial jumped by a staggering 19.57% in from $100.87 to $120.61 at 21:29 EST on Wednesday, after two consecutive sessions in a row of losses. NYSE is dropping 0.75% to $15,265.25, following the last session's downward trend.
Raymond James Financial, Inc. is a multi-faceted financial services firm that provides private client groups, capital markets, asset and banking services for individuals, businesses, and communities in America, Canada, Europe, and the United States.
Earnings Per Share
As for profitability, Raymond James Financial has a trailing twelve months EPS of $7.49.
PE Ratio
Raymond James Financial has a trailing twelve months price to earnings ratio of 16.11. Meaning, the purchaser of the share is investing $16.11 for every dollar of annual earnings.
The company's return on equity, which measures the profitability of a business relative to shareholder's equity, for the twelve trailing months is 16.96%.More news about Raymond James Financial.
22. Celanese (CE)
Shares of Celanese rose 9.07% in from $91.97 to $100.31 at 21:29 EST on Wednesday, after three sequential sessions in a row of losses. NYSE is dropping 0.75% to $15,265.25, following the last session's downward trend.
Celanese Corporation is a specialty material and technology company that manufactures and markets high-performance engineered polymers both in the United States as well internationally.
Earnings Per Share
As for profitability, Celanese has a trailing twelve months EPS of $17.84.
PE Ratio
Celanese has a trailing twelve months price to earnings ratio of 5.62. Meaning, the purchaser of the share is investing $5.62 for every dollar of annual earnings.
The company's return on equity, which measures the profitability of a business relative to shareholder's equity, for the twelve trailing months is 42.55%.More news about Celanese.
23. STMicroelectronics (STM)
Shares of STMicroelectronics rose by a staggering 19.55% in from $31.76 to $37.97 at 21:29 EST on Wednesday, after two consecutive sessions in a row of losses. NYSE is dropping 0.75% to $15,265.25, following the last session's downward trend.
STMicroelectronics N.V., together with its subsidiaries, designs, develops, manufactures, and sells semiconductor products in Europe, the Middle East, Africa, the Americas, and the Asia Pacific.
Earnings Per Share
As for profitability, STMicroelectronics has a trailing twelve months EPS of $1.38.
PE Ratio
STMicroelectronics has a trailing twelve months price to earnings ratio of 27.52. Meaning, the purchaser of the share is investing $27.52 for every dollar of annual earnings.
The company's return on equity, which measures the profitability of a business relative to shareholder's equity, for the twelve trailing months is 30.01%.Revenue Growth
Year-on-year quarterly revenue growth grew by 28.2%, now sitting on 14.14B for the twelve trailing months.
Yearly Top and Bottom Value
STMicroelectronics's stock is valued at $37.97 at 21:31 EST, way under its 52-week high of $52.15 and way higher than its 52-week low of $28.35.
Volatility
STMicroelectronics's last week, last month's, and last quarter's current intraday variation average was 1.66%, 0.79%, and 2.54%.
STMicroelectronics's highest amplitude of average volatility was 1.66% (last week), 2.63% (last month), and 2.54% (last quarter).
Growth Estimates Quarters
For the current quarter, the company expects to grow by 68.6% and 8.5% respectively.More news about STMicroelectronics.
24. Logitech (LOGI)
Shares of Logitech rose by a staggering 31.58% in from $45.16 to $59.42 at 21:29 EST on Wednesday, following the last session's downward trend. NASDAQ is falling 1.54% to $11,183.66, following the last session's downward trend.
Logitech International S.A., through its subsidiaries, designs, manufactures, and markets products that connect people to digital and cloud experiences worldwide.
Earnings per Share
Logitech's trailing twelve-month EPS is $5.51.
PE Ratio
Logitech's trailing 12 months earnings to price ratio is 10.78. The purchaser of the shares is therefore investing $10.78 per dollar in annual earnings.
For the 12 trailing months, the company's return-on-equity, which is a measure of the profitability of a company relative to shareholders' equity, was 23.59%.Stock Price Classification
According to the stochastic oscillator, a useful indicator of overbought and oversold conditions,Logitech's stock is considered to be overbought (>=80).
More news about Logitech.
25. AMD (AMD)
Shares of AMD rose by a staggering 25.72% in from $57.96 to $72.87 at 21:29 EST on Wednesday, following the last session's downward trend. NASDAQ is sliding 1.54% to $11,183.66, following the last session's downward trend.
Advanced Micro Devices, Inc. operates as a semiconductor company worldwide.
Earnings Per Share
As for profitability, AMD has a trailing twelve months EPS of $2.38.
PE Ratio
AMD has a trailing twelve months price to earnings ratio of 30.59. Meaning, the purchaser of the share is investing $30.59 for every dollar of annual earnings.
The company's return on equity, which measures the profitability of a business relative to shareholder's equity, for the twelve trailing months is 7.37%.Earnings before Interest, Taxes and Depreciation
AMD's EBITDA stands at 4.99
Revenue Growth
Year-on-year quarterly revenue growth grew by 29%, now sitting on 22.83B for the twelve trailing months.
Yearly Top and Bottom Value
AMD's stock is valued at $72.87 at 21:31 EST, way below its 52-week high of $164.46 and way higher than its 52-week low of $54.57.
Volatility
AMD's last week, last month's, and last quarter's current intraday variation average was 1.53%, 1.08%, and 2.99%.
AMD's highest amplitude of average volatility was 4.05% (last week), 3.23% (last month), and 2.99% (last quarter).
More news about AMD.

