Here is a list of stocks with an above 5% expected next quarter sales growth, and a 3% or higher return on equity. May these stocks be a good medium-term investment option?

2. SPS Commerce.

22.6% sales growth and 11.63% return on equity

SPS Commerce, Inc. provides cloud-based supply chain management solutions worldwide.

SPS Commerce.’s sales growth this year is anticipated to be 19.3% and 10.9% for next year.

Year-on-year quarterly revenue growth grew by 21.4%, now sitting on 328.53M for the twelve trailing months.

SPS Commerce.’s sales growth for the next quarter is 22.6%. The company’s growth estimates for the ongoing quarter and the next is 8.1% and 7.7%. The company’s return on equity, which measures the profitability of a business relative to shareholder’s equity, for the twelve trailing months is 11.63%.

Volatility

SPS Commerce.’s last day, last week, and last month’s current volatility was 0.63%, 1.57%, and 1.26%, respectively.

SPS Commerce.’s current volatility rank, which measures how volatile a financial asset is (variation between the lowest and highest value in a period), was 4.28% (day), 4.49% (last week), and 3.29% (last month), respectively.

SPS Commerce.’s Stock Yearly Top and Bottom Value

SPS Commerce.’s stock is valued at $98.75 at 20:26 EST, way below its 52-week high of $118.06 and way higher than its 52-week low of $46.08.

SPS Commerce.’s Moving Average

SPS Commerce.’s worth is under its 50-day moving average of $103.08 and higher than its 200-day moving average of $97.96.

3. Eli Lilly and Comp.

14.9% sales growth and 118.34% return on equity

Eli Lilly and Company discovers, develops, manufactures, and markets pharmaceutical products worldwide.

Eli Lilly and Comp.’s sales growth this year is expected to be 11% and 2% for next year.

Year-on-year quarterly revenue growth grew by 16.1%, now sitting on 25.49B for the twelve trailing months.

Eli Lilly and Comp.’s sales growth for the next quarter is 14.9%. The company’s growth estimates for the current quarter and the next is 0.5% and 22.7%. The company’s return on equity, which measures the profitability of a business relative to shareholder’s equity, for the twelve trailing months is 118.34%.

Volatility

Eli Lilly and Comp.’s last day, last week, and last month’s current volatility was 2.45%, 1.49%, and 1.11%, respectively.

Eli Lilly and Comp.’s current volatility rank, which measures how volatile a financial asset is (variation between the lowest and highest value in a period), was 2.61% (day), 1.93% (last week), and 1.74% (last month), respectively.

Eli Lilly and Comp.’s Stock Yearly Top and Bottom Value

Eli Lilly and Comp.’s stock is valued at $193.89 at 20:26 EST, way below its 52-week high of $218.00 and way above its 52-week low of $129.21.

Eli Lilly and Comp.’s Moving Average

Eli Lilly and Comp.’s worth is below its 50-day moving average of $196.35 and way higher than its 200-day moving average of $170.52.

4. Badger Meter

10.2% sales growth and 14.53% return on equity

Badger Meter, Inc. manufactures and markets flow measurement, control, and communication solutions in the United States, Asia, Canada, Europe, Mexico, the Middle East, and internationally.

Badger Meter’s sales growth this year is expected to be 14.2% and 4.6% for next year.

Year-on-year quarterly revenue growth grew by 8.6%, now sitting on 434.88M for the twelve trailing months.

Badger Meter’s sales growth for the next quarter is 10.2%. The company’s growth estimates for the present quarter and the next is 39.4% and negative -2%. The company’s return on equity, which measures the profitability of a business relative to shareholder’s equity, for the twelve trailing months is 14.53%.

Volatility

Badger Meter’s last day, last week, and last month’s current volatility was 0.49%, 0.87%, and 1.51%, respectively.

Badger Meter’s current volatility rank, which measures how volatile a financial asset is (variation between the lowest and highest value in a period), was 1.99% (day), 2.40% (last week), and 2.53% (last month), respectively.

Badger Meter’s Stock Yearly Top and Bottom Value

Badger Meter’s stock is valued at $92.40 at 20:26 EST, way under its 52-week high of $111.77 and way higher than its 52-week low of $52.49.

Badger Meter’s Moving Average

Badger Meter’s value is below its 50-day moving average of $95.57 and above its 200-day moving average of $92.37.

5. NAPCO Security Technologies

30.3% sales growth and 8.93% return on equity

Napco Security Technologies, Inc. develops, manufactures, and sells security products in the United States and internationally.

NAPCO Security Technologies’s sales growth this year is expected to be 6.7% and 17.2% for next year.

Year-on-year quarterly revenue growth grew by 5.3%, now sitting on 99.62M for the twelve trailing months.

NAPCO Security Technologies’s sales growth is a negative 0% for the ongoing quarter and 30.3% for the next. The company’s growth estimates for the ongoing quarter and the next is a negative 15% and negative 0%. The company’s return on equity, which measures the profitability of a business relative to shareholder’s equity, for the twelve trailing months is 8.93%.

Volatility

NAPCO Security Technologies’s last day, last week, and last month’s current volatility was 2.34%, 1.10%, and 1.83%, respectively.

NAPCO Security Technologies’s current volatility rank, which measures how volatile a financial asset is (variation between the lowest and highest value in a period), was 4.09% (day), 3.88% (last week), and 4.03% (last month), respectively.

NAPCO Security Technologies’s Stock Yearly Top and Bottom Value

NAPCO Security Technologies’s stock is valued at $33.31 at 20:26 EST, way under its 52-week high of $37.41 and way higher than its 52-week low of $17.84.

NAPCO Security Technologies’s Moving Average

NAPCO Security Technologies’s worth is under its 50-day moving average of $34.23 and way higher than its 200-day moving average of $29.90.

6. Newmark Group

21.8% sales growth and 11.48% return on equity

Newmark Group, Inc. provides commercial real estate services in the United States and internationally.

Newmark Group’s sales growth this year is expected to be 8.8% and 15.4% for next year.

Year-on-year quarterly revenue growth declined by 4.9%, now sitting on 1.9B for the twelve trailing months.

Newmark Group’s sales growth for the next quarter is 21.8%. The company’s growth estimates for the current quarter and the next is 22.2% and 80%. The company’s return on equity, which measures the profitability of a business relative to shareholder’s equity, for the twelve trailing months is 11.48%.

Volatility

Newmark Group’s last day, last week, and last month’s current volatility was 1.02%, 1.08%, and 1.28%, respectively.

Newmark Group’s current volatility rank, which measures how volatile a financial asset is (variation between the lowest and highest value in a period), was 3.24% (day), 2.91% (last week), and 2.96% (last month), respectively.

Newmark Group’s Stock Yearly Top and Bottom Value

Newmark Group’s stock is valued at $10.75 at 20:26 EST, under its 52-week high of $11.45 and way higher than its 52-week low of $3.18.

Newmark Group’s Moving Average

Newmark Group’s worth is above its 50-day moving average of $10.31 and way higher than its 200-day moving average of $7.34.

7. GP Strategies Corporation

17.6% sales growth and 3.26% return on equity

GP Strategies Corporation provides performance improvement and learning solutions worldwide.

GP Strategies Corporation’s sales growth this year is anticipated to be 5.5% and 3.6% for next year.

Year-on-year quarterly revenue growth declined by 20.8%, now sitting on 473.11M for the twelve trailing months.

GP Strategies Corporation’s sales growth for the next quarter is 17.6%. The company’s growth estimates for the ongoing quarter and the next is 633.3% and 108.3%. The company’s return on equity, which measures the profitability of a business relative to shareholder’s equity, for the twelve trailing months is 3.26%.

Volatility

GP Strategies Corporation’s last day, last week, and last month’s current volatility was 1.90%, 1.61%, and 1.80%, respectively.

GP Strategies Corporation’s current volatility rank, which measures how volatile a financial asset is (variation between the lowest and highest value in a period), was 3.94% (day), 3.10% (last week), and 4.29% (last month), respectively.

GP Strategies Corporation’s Stock Yearly Top and Bottom Value

GP Strategies Corporation’s stock is valued at $16.05 at 20:26 EST, way below its 52-week high of $18.24 and way higher than its 52-week low of $5.20.

GP Strategies Corporation’s Moving Average

GP Strategies Corporation’s worth is under its 50-day moving average of $16.59 and way above its 200-day moving average of $13.34.

8. STERIS Corporation

19.4% sales growth and 11.88% return on equity

STERIS plc provides infection prevention and other procedural products and services worldwide.

STERIS Corporation’s sales growth this year is anticipated to be 7.7% and 14.6% for next year.

Year-on-year quarterly revenue growth grew by 4.5%, now sitting on 3.06B for the twelve trailing months.

STERIS Corporation’s sales growth for the next quarter is 19.4%. The company’s growth estimates for the current quarter and the next is 9.1% and 19.1%. The company’s return on equity, which measures the profitability of a business relative to shareholder’s equity, for the twelve trailing months is 11.88%.

Volatility

STERIS Corporation’s last day, last week, and last month’s current volatility was 0.70%, 0.91%, and 0.89%, respectively.

STERIS Corporation’s current volatility rank, which measures how volatile a financial asset is (variation between the lowest and highest value in a period), was 1.16% (day), 1.41% (last week), and 1.55% (last month), respectively.

STERIS Corporation’s Stock Yearly Top and Bottom Value

STERIS Corporation’s stock is valued at $211.98 at 20:26 EST, below its 52-week high of $213.58 and way above its 52-week low of $138.66.

STERIS Corporation’s Moving Average

STERIS Corporation’s worth is way above its 50-day moving average of $182.34 and way above its 200-day moving average of $185.15.

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