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This AI correctly predicted Yesterday's stock price for DAQO New Energy and Geo Group

Via News Editorial Team

November 16, 2022

This AI correctly predicted Yesterday's stock price for DAQO New Energy and Geo Group

(VIANEWS) - The Innrs Artificial Intelligence algorithm has been making predictions about the next day stock price and guessing some of them correctly.

We, at Via News, will follow this AI algorithm and publish the results every week day.

Yesterday's AI prediction for today would produce a ROI of 0.59% if an investor was to invest following yesterday's Innrs AI suggestion.

See the data in the table below.

Financial Asset Accuracy Previous Close Prediction Close Price ROI
DAQO New Energy (DQ) 91.46% $54.04 $58.93 $57.45 6.31% ✅
Geo Group (GEO) 87.18% $8.78 $8.87 $9.22 5.01% ✅
Trip.com (TCOM) 86.4% $27.98 $27.99 $29.28 4.65% ✅
eBay (EBAY) 87.75% $45.9 $46.57 $47.02 2.44% ✅
Ulta Beauty (ULTA) 89.1% $425.9 $426.97 $436.27 2.43% ✅
NVIDIA (NVDA) 86.81% $163.04 $166.25 $166.66 2.22% ✅
Teradyne (TER) 87.11% $94.62 $97.37 $96.59 2.08% ✅
Ford (F) 87.79% $14.07 $14.47 $14.3 1.63% ✅
KLA Corporation (KLAC) 86.85% $380.19 $385.12 $385.55 1.41% ✅
HDFC Bank Limited (HDB) 88.71% $68.53 $70.85 $69.43 1.31% ✅
Fomento Economico Mexicano S.A.B. de C.V. (FMX) 89.09% $76.82 $77.97 $77.8 1.28% ✅
Rio Tinto (RIO) 87.36% $64.46 $67.06 $65.28 1.27% ✅
ENI S.p.A. (E) 88.64% $29.68 $29.79 $30.05 1.25% ✅
ONEOK (OKE) 88.16% $64.59 $65.66 $65.25 1.02% ✅
Check Point (CHKP) 84.29% $127.77 $130.63 $129.05 1% ✅
New York Times (NYT) 93.24% $36.12 $37.01 $36.47 0.97% ✅
Regions Financial Corporation (RF) 88.6% $22.96 $23.3 $23.13 0.74% ✅
Gartner (IT) 88.19% $336.3 $340.4 $338.44 0.64% ✅
KeyCorp (KEY) 88.47% $19.08 $19.36 $19.17 0.47% ✅
Raymond James Financial (RJF) 89.18% $122.32 $122.63 $122.86 0.44% ✅
Exxon Mobil (XOM) 88.64% $113.66 $114.73 $114.13 0.41% ✅
Liberty Media (LSXMK) 89.13% $44.31 $44.41 $44.42 0.25% ✅
SK Telecom (SKM) 84.37% $21.07 $21.16 $21.09 0.09% ✅
Williams Companies (WMB) 87.97% $33.9 $34.8 $33.9 0%
Laboratory Corporation of America Holdings (LH) 88.23% $246.07 $255.13 $245.78 -0.12%
Goldman Sachs Group (GS) 88.47% $383.63 $390.37 $382.88 -0.2%
Wausau Pape (WPP) 88.38% $51.41 $51.92 $51.28 -0.25%
AT&T (T) 89.33% $19.08 $19.23 $19.02 -0.31%
Bio-Rad (BIO) 93.15% $423.19 $433.76 $421.11 -0.49%
JP Morgan Chase (JPM) 88.38% $134.27 $138.51 $132.94 -0.99%
America Movil (AMX) 84.44% $20.28 $20.48 $20 -1.38%
EPAM Systems (EPAM) 91.43% $357.37 $359.06 $352.13 -1.47%
Rogers Communication (RCI) 84.03% $43.9 $44.68 $43.24 -1.5%
America Movil (AMOV) 89.12% $20.18 $20.36 $19.74 -2.18%
Atrion (ATRI) 87.91% $635.66 $641.53 $620.93 -2.32%
Albemarle (ALB) 87.84% $318.04 $324.31 $295.86 -6.97%

1. DAQO New Energy (DQ)

Shares of DAQO New Energy rose by a staggering 18.9% in from $48.15 to $57.25 at 21:29 EST on Tuesday, following the last session's upward trend. NYSE is rising 1% to $15,381.00, following the last session's upward trend.

Daqo New Energy Corp., together with its subsidiaries, manufactures and sells polysilicon to photovoltaic product manufactures in the People's Republic of China.

Earnings Per Share

As for profitability, DAQO New Energy has a trailing twelve months EPS of $1.7.

PE Ratio

DAQO New Energy has a trailing twelve months price to earnings ratio of 33.72. Meaning, the purchaser of the share is investing $33.72 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 52.23%.

Volatility

DAQO New Energy's last week, last month's, and last quarter's current intraday variation average was 2.44%, 0.59%, and 3.47%.

DAQO New Energy's highest amplitude of average volatility was 4.11% (last week), 4.14% (last month), and 3.47% (last quarter).

More news about DAQO New Energy.

2. Geo Group (GEO)

Shares of Geo Group jumped 7.49% in from $8.55 to $9.19 at 21:29 EST on Tuesday, after four sequential sessions in a row of gains. NYSE is rising 1% to $15,381.00, following the last session's upward 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

As for profitability, Geo Group has a trailing twelve months EPS of $0.94.

PE Ratio

Geo Group has a trailing twelve months price to earnings ratio of 9.78. Meaning, the purchaser of the share is investing $9.78 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 7.46%.

Yearly Top and Bottom Value

Geo Group's stock is valued at $9.19 at 21:29 EST, under its 52-week high of $9.81 and way above its 52-week low of $5.21.

More news about Geo Group.

3. Trip.com (TCOM)

Shares of Trip.com rose by a staggering 19.97% in from $24.34 to $29.20 at 21:29 EST on Tuesday, after two sequential sessions in a row of gains. NASDAQ is rising 1.45% to $11,358.41, following the last session's upward trend.

Trip.com Group Limited operates as a travel service provider for accommodation reservation, transportation ticketing, packaged tours and in-destination, corporate travel management, and other travel-related services in China and internationally.

Earnings per Share

Trip.com's trailing twelve-month EPS is $0.31.

PE Ratio

Trip.com's trailing 12-month price-to-earnings ratio is 94.19. The purchaser of the shares is therefore investing $94.19 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 negative at -3.2%.

Classification of Stock Prices

The stochastic oscillator is a helpful indicator for overbought or oversold situations.

Trip.com stock considered overbought (>=80).

Volatility

Trip.com's intraday variation average for the week and quarter ended last week at 1.39%, 93% and 3.41%, respectively.

Trip.com had the highest average volatility amplitudes of 3.70%, 4.38% and 3.41% respectively (last week, last month, and last quarter).

Yearly Top and Bottom Value

Trip.com's stock is valued at $29.20 at 21:29 EST, under its 52-week high of $31.60 and way above its 52-week low of $14.29.

Moving Average

Trip.com's value is way above its 50-day moving average of $25.75 and way higher than its 200-day moving average of $24.60.

More news about Trip.com.

4. eBay (EBAY)

Shares of eBay rose by a staggering 24.38% in from $37.82 to $47.04 at 21:29 EST on Tuesday, following the last session's upward trend. NASDAQ is jumping 1.45% to $11,358.41, following the last session's upward trend.

eBay Inc. manages marketplace platforms which connect sellers and buyers in the United States as well as internationally.

Earnings Per Share

As for profitability, eBay has a trailing twelve months EPS of $4.12.

PE Ratio

eBay has a trailing twelve months price to earnings ratio of 11.41. Meaning, the purchaser of the share is investing $11.41 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 negative -27.22%.

Revenue growth

The year-on-year revenue growth fell by 9.2%. We now have 10.02B in the 12 trailing months.

Volatility

eBay's intraday variation average for the last week, month, and quarter was 3.83%. 0.98% and 1.92% respectively.

The highest eBay average volatility amplitude was at 4.49% last week, 2.19% last month and 1.92% in the quarter.

Annual Top and Bottom Value

At 21:29 EST eBay stock was valued at $47.04 - way lower than its 52 week high of $76.58 but higher than its 52 week low of $35.92.

More news about eBay.

5. Ulta Beauty (ULTA)

Shares of Ulta Beauty jumped 8.55% in from $402.4 to $436.80 at 21:29 EST on Tuesday, following the last session's upward trend. NASDAQ is jumping 1.45% to $11,358.41, following the last session's upward trend.

Ulta Beauty, Inc. operates as a retailer of beauty products in the United States.

Earnings per Share

Ulta Beauty's trailing 12 months profit per share (EPS) is $3.11.

PE Ratio

Ulta Beauty's trailing 12 months earnings to price ratio is 140.45. The purchaser of the shares is thus investing $140.45 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 62.03%.

Growth Estimates Quarters

The company's growth estimates for the current quarter is 3.8% and a drop 3.9% for the next.

Moving Average

Ulta Beauty's market value is greater than its 50-day moving mean of $409.55, and much higher than its 200 day moving average $395.26.

Classification of Stock Prices

The stochastic oscillator is a helpful indicator for overbought or oversold situations.

Ulta Beauty stock considered oversold (=20).

Sales Growth

Ulta Beauty's sales growth for the next quarter is 6.6%.

More news about Ulta Beauty.

6. NVIDIA (NVDA)

Shares of NVIDIA jumped by a staggering 40.47% in from $118.59 to $166.58 at 21:29 EST on Tuesday, following the last session's upward trend. NASDAQ is rising 1.45% to $11,358.41, following the last session's upward trend.

NVIDIA Corporation offers graphics, compute, networking and other solutions throughout the United States, Taiwan and China.

Earnings per Share

NVIDIA's trailing 12 months profit per share is $6.9.

PE Ratio

NVIDIA's trailing 12-month price-earnings ratio is 24.14. The purchaser of the shares is therefore investing $24.14 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 34.41%.

Moving Average

NVIDIA's value has risen significantly over its 50-day average $130.74, and is well above its 200-day average $182.99.

More news about NVIDIA.

7. Teradyne (TER)

Shares of Teradyne jumped by a staggering 34.39% in from $71.64 to $96.28 at 21:29 EST on Tuesday, after two consecutive sessions in a row of gains. NASDAQ is jumping 1.45% to $11,358.41, following the last session's upward trend.

Teradyne, Inc. designs, develops, manufactures, sells, and supports automatic test equipment worldwide.

Earnings Per Share

As for profitability, Teradyne has a trailing twelve months EPS of $4.4.

PE Ratio

Teradyne has a trailing twelve months price to earnings ratio of 21.89. Meaning, the purchaser of the share is investing $21.89 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 35.08%.

Dividend Yield

According to Morningstar, Inc., the next dividend payment is on May 23, 2022, the estimated forward annual dividend rate is 0.44 and the estimated forward annual dividend yield is 0.44%.

Moving Average

Teradyne's value is way above its 50-day moving average of $80.30 and below its 200-day moving average of $100.10.

More news about Teradyne.

8. Ford (F)

Shares of Ford jumped by a staggering 20.73% in from $11.82 to $14.27 at 21:29 EST on Tuesday, following the last session's upward trend. NYSE is jumping 1% to $15,381.00, following the last session's upward trend.

Ford Motor Company manufactures, markets and supports a wide range of Ford vehicles and trucks worldwide.

Earnings Per Share

As for profitability, Ford has a trailing twelve months EPS of $0.99.

PE Ratio

Ford has a trailing twelve months price to earnings ratio of 14.36. Meaning, the purchaser of the share is investing $14.36 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 29.39%.

Sales Growth

Ford sales growth was 17.3% in the most recent quarter, and 14.1% the following.

More news about Ford.

9. KLA Corporation (KLAC)

Shares of KLA Corporation jumped by a staggering 46.24% in from $263.16 to $384.84 at 21:29 EST on Tuesday, following the last session's upward trend. NASDAQ is rising 1.45% to $11,358.41, following the last session's upward trend.

KLA Corporation designs, manufactures, and markets process control, process-enabling, and yield management solutions for the semiconductor and related electronics industries worldwide.

Earnings Per Share

As for profitability, KLA Corporation has a trailing twelve months EPS of $11.91.

PE Ratio

KLA Corporation has a trailing twelve months price to earnings ratio of 32.32. Meaning, the purchaser of the share is investing $32.32 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 110.03%.

Volatility

KLA Corporation's intraday variation average for the week and quarter ended last week at 3.07%. Last month was at 1.72%. Quarter's end was at 2.32%.

KLA Corporation's highest average volatility amplitude was 3.388% (last week), 2.299% (last month), and 2.322% (last quarter).

Yearly Top and Bottom Value

KLA Corporation 's stock is valued at $384.84 at 21:30 EST, way below its 52-week high of $457.12 and way above its 52-week low of $250.20.

Growth Estimates Quarters

The company's growth estimates for the current quarter and the next is 27% and 13.8%, respectively.

More news about KLA Corporation .

10. HDFC Bank Limited (HDB)

Shares of HDFC Bank Limited rose by a staggering 15.81% in from $60.01 to $69.50 at 21:29 EST on Tuesday, after two sequential sessions in a row of gains. NYSE is rising 1% to $15,381.00, following the last session's upward trend.

HDFC Bank Limited provides banking and financial services to individuals and businesses in India, Bahrain, Hong Kong, and Dubai.

Earnings Per Share

As for profitability, HDFC Bank Limited has a trailing twelve months EPS of $0.39.

PE Ratio

HDFC Bank Limited has a trailing twelve months price to earnings ratio of 178.21. Meaning, the purchaser of the share is investing $178.21 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 16.66%.

More news about HDFC Bank Limited.

11. Fomento Economico Mexicano S.A.B. de C.V. (FMX)

Shares of Fomento Economico Mexicano S.A.B. de C.V. rose by a staggering 23.43% in from $63 to $77.76 at 21:29 EST on Tuesday, after two sequential sessions in a row of gains. NYSE is jumping 1% to $15,381.00, following the last session's upward trend.

Fomento Economico Mexicano, S.A.B. de C.V. operates through its subsidiaries as a bottler for Coca-Cola trademark drinks.

Earnings Per Share

As for profitability, Fomento Economico Mexicano S.A.B. de C.V. has a trailing twelve months EPS of $-0.27.

The company's return on equity, which measures the profitability of a business relative to shareholder's equity, for the twelve trailing months is 12.66%.

More news about Fomento Economico Mexicano S.A.B. de C.V..

12. Rio Tinto (RIO)

Shares of Rio Tinto rose by a staggering 18.2% in from $55.12 to $65.15 at 21:29 EST on Tuesday, after two successive sessions in a row of gains. NYSE is rising 1% to $15,381.00, following the last session's upward trend.

Rio Tinto Group is involved in the exploration, mining and processing of mineral resources around the world.

Earnings Per Share

As for profitability, Rio Tinto has a trailing twelve months EPS of $6.

PE Ratio

Rio Tinto has a trailing twelve months price to earnings ratio of 10.86. Meaning, the purchaser of the share is investing $10.86 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 32.83%.

Volatility

Rio Tinto's intraday variation average for the week and quarter ended last week at 2.62%. 0.60% and 2.32% respectively.

Rio Tinto had the highest average volatility amplitudes of 3.10%, 2.63% and 2.32% in last week.

Moving Average

Rio Tinto's value is way higher than its 50-day moving average of $55.45 and below its 200-day moving average of $66.38.

More news about Rio Tinto.

13. ENI S.p.A. (E)

Shares of ENI S.p.A. jumped by a staggering 29.26% in from $23.24 to $30.04 at 21:29 EST on Tuesday, after four successive sessions in a row of gains. NYSE is rising 1% to $15,381.00, following the last session's upward trend.

Eni S.p.A. engages in the exploration, development, and production of crude oil and natural gas.

Earnings per Share

ENI S.p.A.'s trailing 12 months EPS is $-5.84.

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 26.21%.

More news about ENI S.p.A..

14. ONEOK (OKE)

Shares of ONEOK rose by a staggering 19.03% in from $54.87 to $65.31 at 21:29 EST on Tuesday, following the last session's upward trend. NYSE is rising 1% to $15,381.00, following the last session's upward trend.

ONEOK, Inc., together with its subsidiaries, engages in gathering, processing, storage, and transportation of natural gas in the United States.

Earnings per Share

ONEOK's trailing 12 month EPS is $2.59.

PE Ratio

ONEOK's trailing 12 months earnings to price ratio is 25.24. The purchaser of the shares is therefore investing $25.24 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 business relative shareholder equity, was 26.23%.

More news about ONEOK.

15. Check Point (CHKP)

Shares of Check Point jumped by a staggering 14.34% in from $112.74 to $128.91 at 21:29 EST on Tuesday, following the last session's upward trend. NASDAQ is jumping 1.45% to $11,358.41, following the last session's upward trend.

Check Point Software Technologies Ltd.

Earnings per Share

Check Point's trailing 12 month EPS is $6.07.

PE Ratio

Check Point's trailing 12 months earnings to price ratio is 21.23. The purchaser of the shares is therefore investing $21.23 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 25.32%.

Volume

Check Point's current volume is 51778, which is 39% lower than its usual volume of 849340.

Growth Estimates Quarters

The company's growth estimates for the current quarter and the next is 4.9% and 11.4%, respectively.

Earnings before Interest, Taxes and Depreciation

Check Point's EBITDA stands at 6.5.

Yearly Top and Bottom Value

Check Point's stock is valued at $128.91 at 21:30 EST, way below its 52-week high of $149.62 and way above its 52-week low of $107.54.

More news about Check Point.

16. New York Times (NYT)

Shares of New York Times rose by a staggering 21.12% in from $30.11 to $36.47 at 21:29 EST on Tuesday, following the last session's upward trend. NYSE is jumping 1% to $15,381.00, following the last session's upward trend.

The New York Times Company and its subsidiaries provide news and information to readers and viewers on various platforms around the world.

Earnings Per Share

As for profitability, New York Times has a trailing twelve months EPS of $0.6.

PE Ratio

New York Times has a trailing twelve months price to earnings ratio of 60.77. Meaning, the purchaser of the share is investing $60.77 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 12.91%.

More news about New York Times.

17. Regions Financial Corporation (RF)

Shares of Regions Financial Corporation jumped 8.61% in from $21.25 to $23.08 at 21:29 EST on Tuesday, after two sequential sessions in a row of gains. NYSE is jumping 1% to $15,381.00, following the last session's upward trend.

Regions Financial Corporation is a financial holding firm that provides bank and other related services for individual and corporate clients.

Earnings per Share

Regions Financial Corporation's trailing twelve-month EPS is $1.52.

PE Ratio

Regions Financial Corporation's trailing 12-month price-earnings ratio is 15.17. The purchaser of the shares is investing $15.17 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 12.77%.

Growth Estimates Quarters

The company's growth estimates for the present quarter is a negative 10.8% and positive 39.5% for the next.

Sales Growth

Regions Financial Corporation is expecting a 12% increase in sales for its next quarter.

Moving Average

Regions Financial Corporation is worth more than its moving average for 50 days of $21.26 or its moving average for 200 days of $21.50.

Volume

Today's last reported volume for Regions Financial Corporation is 4918010 which is 40.67% below its average volume of 8289960.

More news about Regions Financial Corporation.

18. Gartner (IT)

Shares of Gartner jumped by a staggering 18.47% in from $285.86 to $338.66 at 21:29 EST on Tuesday, after two successive sessions in a row of gains. NYSE is rising 1% to $15,381.00, following the last session's upward trend.

Gartner, Inc. operates as a research and advisory company in the United States, Canada, Europe, the Middle East, Africa, and internationally.

Earnings per Share

Gartner's trailing 12 month EPS is $2.96.

PE Ratio

Gartner's trailing 12-month price-earnings ratio is 114.41. The purchaser of the shares is paying $114.41 per dollar in annual earnings.

For the 12 trailing months, the company's return-on-equity, which is an indicator of the business' profitability relative to shareholders' equity, was 158.85%.

Revenue growth

The year-over-year growth in quarterly revenue was 14.4%. It now stands at 4.89B for twelve months.

Sales Growth

Gartner is forecasting 13% sales growth in the next quarter.

Moving Average

Gartner's value is way above its 50-day moving average of $293.62 and way above its 200-day moving average of $279.67.

More news about Gartner.

19. KeyCorp (KEY)

Shares of KeyCorp jumped by a staggering 13.37% in from $16.9 to $19.16 at 21:29 EST on Tuesday, after two sequential sessions in a row of gains. NYSE is jumping 1% to $15,381.00, following the last session's upward trend.

KeyCorp operates as the holding company for KeyBank National Association that provides various retail and commercial banking products and services in the United States.

Earnings per Share

KeyCorp's trailing 12 months profit per share is $1.77

PE Ratio

KeyCorp's trailing 12-month price-earnings ratio is 10.83. The purchaser of the shares is therefore investing $10.83 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 13.88%.

Yearly Top and Bottom Value

KeyCorp's stock is valued at $19.16 at 21:31 EST, way under its 52-week high of $27.17 and way higher than its 52-week low of $15.26.

More news about KeyCorp.

20. Raymond James Financial (RJF)

Shares of Raymond James Financial jumped by a staggering 21.59% in from $101.06 to $122.88 at 21:29 EST on Tuesday, after two successive sessions in a row of gains. NYSE is rising 1% to $15,381.00, following the last session's upward 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 16.41. Meaning, the purchaser of the share is investing $16.41 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%.

Sales Growth

Raymond James Financial has a 7.9% sales increase for the current quarter.

Volume

Raymond James Financial's current reported volume is 855525, which is 28.62% lower than its average volume (198700).

Revenue Growth

Year-on-year quarterly revenue growth grew by 4.7%, now sitting on 10.9B for the twelve trailing months.

Growth Estimates Quarters

The company's growth estimates for the ongoing quarter and the next is 9% and 47.7%, respectively.

More news about Raymond James Financial.

21. Exxon Mobil (XOM)

Shares of Exxon Mobil rose by a staggering 13% in from $100.88 to $113.99 at 21:29 EST on Tuesday, after two consecutive sessions in a row of gains. NYSE is rising 1% to $15,381.00, following the last session's upward trend.

Exxon Mobil Corporation explores for and produces crude oil and natural gas in the United States and internationally.

Earnings per Share

Exxon Mobil's trailing 12 months profit per share is $-4.47

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 23.05%.

Classification of Stock Prices

The stochastic oscillator is a helpful indicator for overbought or oversold situations.

Exxon Mobil stock considered oversold (=20).

More news about Exxon Mobil.

22. Liberty Media (LSXMK)

Shares of Liberty Media rose 8.66% in from $40.76 to $44.29 at 21:29 EST on Tuesday, following the last session's upward trend. NASDAQ is rising 1.45% to $11,358.41, following the last session's upward trend.

Through its subsidiaries, the Liberty SiriusXM Group engages in entertainment in Canada and the United States.

Earnings per Share

Liberty Media's trailing 12 months profit per share is $-2.24

For the 12 trailing months, the company's return-on-equity, which is a measure of the business' profitability relative to shareholders' equity, was 10.51%.

More news about Liberty Media.

23. SK Telecom (SKM)

Shares of SK Telecom rose by a staggering 10.14% in from $19.14 to $21.08 at 21:29 EST on Tuesday, after two consecutive sessions in a row of gains. NYSE is jumping 1% to $15,381.00, following the last session's upward trend.

SK Telecom Co., Ltd.

Earnings per Share

SK Telecom's trailing 12 months EPS is $2.03.

PE Ratio

SK Telecom's trailing 12-month price-earnings ratio is 10.41. The purchaser of the shares is therefore investing $10.41 per dollar in annual earnings.

For the 12 trailing months, the company's return-on-equity, which is an indicator of the business' profitability relative to shareholders' equity, was 6.17%.

Revenue Growth

Year-on-year quarterly revenue growth grew by 4%, now sitting on 16.91T for the twelve trailing months.

Moving Average

SK Telecom's worth is above its 50-day moving average of $19.89 and way under its 200-day moving average of $23.48.

Dividend Yield

As maintained by Morningstar, Inc., the next dividend payment is on Mar 29, 2022, the estimated forward annual dividend rate is 1.88 and the estimated forward annual dividend yield is 8.22%.

Volume

Today's last reported volume for SK Telecom is 417422 which is 23.2% below its average volume of 543584.

More news about SK Telecom.

24. Williams Companies (WMB)

Shares of Williams Companies jumped by a staggering 13% in from $30 to $33.90 at 21:29 EST on Tuesday, after two consecutive sessions in a row of gains. NYSE is rising 1% to $15,381.00, following the last session's upward trend.

Together with its subsidiaries, The Williams Companies, Inc. operates as an energy infrastructure firm primarily in America.

Earnings per Share

Williams Companies' trailing 12 month EPS is $0.95.

PE Ratio

Williams Companies' trailing 12-month price-earnings ratio is 35.76. The purchaser of the shares is therefore investing $35.76 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 10.68%.

Volatility

Williams Companies' last week's and last month's intraday variation averages were a negative 0.19%, a positively 0.57% and a positively 1.66%.

Williams Companies had the highest average volatility amplitudes of 1.10%, 1.30% and 1.66% in last week.

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25. Laboratory Corporation of America Holdings (LH)

Shares of Laboratory Corporation of America Holdings rose by a staggering 15.31% in from $212.95 to $245.55 at 21:29 EST on Tuesday, after two consecutive sessions in a row of gains. NYSE is jumping 1% to $15,381.00, following the last session's upward trend.

Laboratory Corporation of America Holdings is a worldwide life science company. It provides crucial information that helps doctors, nurses, pharmacist companies, researchers and patients to make confident and clear decisions.

Earnings Per Share

As for profitability, Laboratory Corporation of America Holdings has a trailing twelve months EPS of $26.89.

PE Ratio

Laboratory Corporation of America Holdings has a trailing twelve months price to earnings ratio of 9.13. Meaning, the purchaser of the share is investing $9.13 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 19.26%.

Yearly Top and Bottom Value

Laboratory Corporation of America Holdings's stock is valued at $245.55 at 21:32 EST, way below its 52-week high of $317.17 and way above its 52-week low of $200.32.

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26. Goldman Sachs Group (GS)

Shares of Goldman Sachs Group jumped by a staggering 24.58% in from $306.84 to $382.26 at 21:29 EST on Tuesday, after two successive sessions in a row of gains. NYSE is jumping 1% to $15,381.00, following the last session's upward trend.

Goldman Sachs Group, Inc., is a financial institution that provides financial services to individuals, corporations, government agencies, and governments worldwide.

Earnings Per Share

As for profitability, Goldman Sachs Group has a trailing twelve months EPS of $40.26.

PE Ratio

Goldman Sachs Group has a trailing twelve months price to earnings ratio of 9.5. Meaning, the purchaser of the share is investing $9.5 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 14.61%.

Growth Estimates Quarters

For the current quarter, the company expects to grow by a net 46% and negative 25% respectively.

Volume

Today's last reported volume for Goldman Sachs Group is 2601730 which is 17.45% above its average volume of 2215060.

Moving Average

Goldman Sachs Group's worth is way higher than its 50-day moving average of $321.46 and way higher than its 200-day moving average of $324.73.

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27. Wausau Pape (WPP)

Shares of Wausau Pape jumped by a staggering 20.52% in from $42.64 to $51.39 at 21:29 EST on Tuesday, after two successive sessions in a row of gains. NYSE is rising 1% to $15,381.00, following the last session's upward trend.

WPP plc is a company that creates transformation. It provides communication, experience, commerce and technology services throughout North America, North America and Western Continental Europe.

Earnings Per Share

As for profitability, Wausau Pape has a trailing twelve months EPS of $-16.87.

The company's return on equity, which measures the profitability of a business relative to shareholder's equity, for the twelve trailing months is 15.81%.

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28. AT&T (T)

Shares of AT&T rose by a staggering 24.3% in from $15.31 to $19.03 at 21:29 EST on Tuesday, after two sequential sessions in a row of losses. NYSE is jumping 1% to $15,381.00, following the last session's upward trend.

AT&T Inc. offers telecommunications and media services around the world.

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 business, was 11.92%.

Volatility

AT&T's last week, last month's, and last quarter's current intraday variation average was 1.22%, 1.13%, and 1.35%.

AT&T's highest amplitude of average volatility was 1.22% (last week), 1.58% (last month), and 1.35% (last quarter).

Dividend Yield

According to Morningstar, Inc., there will be a next dividend payment on October 5, 2022. The forward dividend rate for 2020 is estimated at 1.11, and the forward dividend yield at 6.16%.

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29. Bio-Rad (BIO)

Shares of Bio-Rad rose 3.61% in from $405.2 to $419.83 at 21:29 EST on Tuesday, after two consecutive sessions in a row of losses. NYSE is jumping 1% to $15,381.00, following the last session's upward trend.

Bio-Rad Laboratories Inc. produces and distributes clinical diagnostic and life science products throughout the United States and Europe.

Earnings Per Share

As for profitability, Bio-Rad has a trailing twelve months EPS of $135.87.

PE Ratio

Bio-Rad has a trailing twelve months price to earnings ratio of 3.09. Meaning, the purchaser of the share is investing $3.09 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 negative -50.74%.

Annual Top and Bottom Value

Bio-Rad stock was valued at $419.83 as of 21:32 EST. This is way lower than the 52-week high $784.39, and much higher than the 52-week low $344.63.

Moving Average

Bio-Rad is worth more than its $50-day average moving price of $419.06, and less than its $200-day average moving price of $510.05.

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30. JP Morgan Chase (JPM)

Shares of JP Morgan Chase jumped by a staggering 14.76% in from $115.83 to $132.93 at 21:29 EST on Tuesday, after two sequential sessions in a row of losses. NYSE is rising 1% to $15,381.00, following the last session's upward trend.

JPMorgan Chase & Co. is a global financial services firm.

Earnings per Share

JP Morgan Chase's trailing 12-month EPS is $12.61.

PE Ratio

JP Morgan Chase's trailing 12-month price-earnings ratio is 10.54. The purchaser of the shares is therefore investing $10.54 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 12.83%.

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31. America Movil (AMX)

Shares of America Movil rose by a staggering 20.71% in from $16.61 to $20.05 at 21:29 EST on Tuesday, following the last session's downward trend. NYSE is jumping 1% to $15,381.00, following the last session's upward trend.

América Móvil, S.A.B. de C.V. provides telecommunications services in Latin America and internationally.

Earnings per Share

America Movil's trailing twelve-month EPS is $1.16.

PE Ratio

America Movil's trailing 12-month price-to-earnings ratio is 17.28. The purchaser of the shares is therefore investing $17.28 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%.

Moving Average

America Movil's value is way above its 50-day moving average of $17.62 and higher than its 200-day moving average of $19.10.

Yearly Top and Bottom Value

America Movil's stock is valued at $20.05 at 21:32 EST, way below its 52-week high of $22.65 and way above its 52-week low of $16.13.

Revenue growth

The year-on-year revenue growth was 1.8%. It now stands at 871.29 billion for the 12 trailing months.

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32. EPAM Systems (EPAM)

Shares of EPAM Systems jumped 5.45% in from $333.64 to $351.82 at 21:29 EST on Tuesday, after two successive sessions in a row of losses. NYSE is jumping 1% to $15,381.00, following the last session's upward trend.

EPAM Systems, Inc. offers worldwide digital platform engineering services and software development.

Earnings Per Share

As for profitability, EPAM Systems has a trailing twelve months EPS of $5.6.

PE Ratio

EPAM Systems has a trailing twelve months price to earnings ratio of 62.83. Meaning, the purchaser of the share is investing $62.83 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 15.15%.

Moving Average

EPAM Systems's worth is below its 50-day moving average of $360.56 and above its 200-day moving average of $341.89.

Sales Growth

EPAM Systems's sales growth for the next quarter is 13.5%.

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33. Rogers Communication (RCI)

Shares of Rogers Communication jumped by a staggering 13.62% in from $38.03 to $43.21 at 21:29 EST on Tuesday, after two successive sessions in a row of losses. NYSE is jumping 1% to $15,381.00, following the last session's upward 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 16.79. The purchaser of the shares is therefore investing $16.79 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%.

Sales Growth

Rogers Communication's sales growth is 2% for the ongoing quarter and 1.8% for the next.

Moving Average

Rogers Communication's value is above its 50-day moving average of $40.52 and way below its 200-day moving average of $48.15.

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34. America Movil (AMOV)

Shares of America Movil rose by a staggering 20.05% in from $16.56 to $19.88 at 21:29 EST on Tuesday, following the last session's downward trend. NASDAQ is jumping 1.45% to $11,358.41, following the last session's upward trend.

América Móvil, S.A.B. de C.V. provides telecommunications services in Latin America and internationally.

Earnings per Share

America Movil's trailing twelve-month EPS is $1.16.

PE Ratio

America Movil's trailing 12-month price-to-earnings ratio is 17.14. The purchaser of the shares is therefore investing $17.14 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%.

Yearly Top and Bottom Value

America Movil's stock is valued at $19.88 at 21:33 EST, way under its 52-week high of $22.57 and way higher than its 52-week low of $15.86.

Moving Average

America Movil's worth is way higher than its 50-day moving average of $17.48 and above its 200-day moving average of $19.01.

Revenue Growth

Year-on-year quarterly revenue growth grew by 1.8%, now sitting on 871.29B for the twelve trailing months.

Classification of Stock Prices

The stochastic oscillator is a helpful indicator for overbought or oversold situations.

America Movil stock is overbought (>=80).

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35. Atrion (ATRI)

Shares of Atrion rose 1.4% in from $616.37 to $625.00 at 21:29 EST on Tuesday, after two successive sessions in a row of losses. NASDAQ is jumping 1.45% to $11,358.41, following the last session's upward 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 35.84. Meaning, the purchaser of the share is investing $35.84 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%.

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36. Albemarle (ALB)

Shares of Albemarle rose by a staggering 18.73% in from $248.05 to $294.51 at 21:29 EST on Tuesday, after four sequential sessions in a row of losses. NYSE is rising 1% to $15,381.00, following the last session's upward trend.

Albemarle Corporation manufactures and markets specialty chemicals around the world.

Earnings per Share

Albemarle's trailing twelve-month EPS is $3.52.

PE Ratio

Albemarle's trailing 12-month price-earnings ratio is 83.67. The purchaser of the shares is therefore investing $83.67 per dollar in annual earnings.

For the 12 trailing months, the company's return-on-equity, which is an indicator of the business' profitability relative to shareholders' equity, was 6.07%.

Growth Estimates Quarters

For the current quarter, the company expects to grow by 259.6% and 258.1% respectively.

Sales Growth

Albemarle's sales growth is 90.4% for the ongoing quarter and 110.9% for the next.

Moving Average

Albemarle's worth is above its 50-day moving average of $274.90 and way higher than its 200-day moving average of $234.62.

Dividend Yield

Morningstar, Inc. has stated that the next dividend payment will be on Sep 14, 2022. The forward dividend rate for the year is estimated at 1.58, and the forward dividend yield of 0.65%.

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