Avon Products, Inc. (AVP) stock price moved with dropping change along with the volume 4.99 million shares in Monday trading session. Shares are trading price at $2.56 with move of -7.25%. The company’s 3-months average volume stands at 4.91 million. At current stock price levels, we have noted that AVP’s stock price is separated -47.70% from the 52 week high and 38.38% off of the 52 week low. When we divide the last trade volume by the 3-month average volume, we found out a relative volume of 1.03. The total dollar value of all 464.93 million outstanding shares is 1.19 billion. The forward P/E ratio stands at 8.83. The price to sales ratio is 17.
Analyst notified mean rating at 3.00 after consensus analysis. (Rating Scale: 1.0 Strong Buy, 2.0 Buy, 3.0 Hold, 4.0 Sell, 5.0 Strong Sell). Keep in mind that Investors should not rely only on an analyst’s recommendation when taking a decision whether to buy, hold, or sell a stock. Instead, they should also do their own research—such as reading the prospectus for new companies or for public companies, the quarterly and annual reports filed with the SEC—to confirm whether a particular investment is appropriate for them in light of their individual financial circumstances.
Typically 20-day simple moving average is useful at identifying swing trading trends lasting 20 days. Avon Products, Inc. (AVP) recently closed with fall of -9.07% to its 20-Day Simple Moving Average. This short time frame picture represents a downward movement of current price over average price of last 20 days. Now moving toward intermediate time frame, 50-day Moving average is more useful at showing position trading trends lasting 50 days. Shares of AVP moved downward with change of -6.41% to its 50-day Moving average. This falling movement shows negative prices direction over last 50 days. Longer moving average timeframes are less sensitive to price fluctuations than shorter term timeframes and will generate far few signals. AVP stock price revealed optimistic move of 0.19% comparing average price of last 200 days. This comparison showed up direction of price above its 200-SMA.
The ROA is 0.00%. A company that manages their assets well will have a high return, while if manages their assets poorly will have a low return. ROI is 12.60%. A positive result means that returns exceed costs. Analysts therefore consider the investment a net gain. The opposite kind of result, a negative means that costs outweigh returns. Analysts therefore view the investment as a net loss.
Going back previous 30 days we noticed that AVP performed along discount change of -9.54%. If we checked the overall image of stock during recent quarter then we found that stock performance is trading up 8.02%. Investors expect the good YTD performance from the stock. From the start of year 2017 to present date AVP reported surged performance of 19.07%. Investors saw a negative move of -7.58% in last five trading days. Going move backward a period of six month analysis we come to know that stock soared 13.27% giving rising alert for Investors. Now we take an assessment of last twelve months period, where stock moved lower with performance of -41.82%.
Net profit margin of the company is seen at 0.00%. Operating profit margin is positioned at 4.80%. Gross profit margin is 61.50%. The larger the gross profit margin, the better for the company. Net Profit Margin is a ratio of profitability calculated as net income divided by revenues, or net profits divided by sales. It measures how much out of every dollar of sales a company actually keeps in earnings.
The Company’s sales have grown at an average annualized rate of about -11.60% during the past five years. For the past 5 years, The Company’s EPS growth has been nearly -18.00%. Analyst established EPS growth expected to grow of 76.50% for this year and EPS growth for next year is likely to attain at 50.26%.
Looking about the past performance history, the company plunged -7.58% for the last five trades and exhausted -9.54% in one month period. The stock augmented 8.02% during the past three month period and escalated 13.27% in half year. During the yearly overview it downgraded -41.82% and shown 19.07% year to date performance.
The beta factor is 1.43.Volatility shows sense of how far the stock will fall if the market takes a dive and how high stock will rise if the bull starts to climb. A stock with a beta more than 1 means high volatile and less than 1 means low volatile.
ATR value of company was 0.13. Relative Strength Index (RSI) was 36.34. Developed J. Welles Wilder, the Relative Strength Index (RSI) is a momentum oscillator that measures the speed and change of price movements. RSI oscillates between zero and 100. Traditionally, and according to Wilder, RSI is considered overbought when above 70 and oversold when below 30.
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