The company exchanged hands with 5928508 shares contrast to its average daily volume of 6.34M shares. The company has a market cap of $138,211.81, a PE ratio of 22.76, a price-to-earnings-growth ratio of 0.82 and a beta of 0.91.
The stock has current RSI value of 61.28. The Williams %R oscillates in a range from 0 to -100. On Monday, August 24 the stock rating was upgraded by Vetr to "Buy".
Recent Moving averages Indicator Signals for BP p.l.c. The firm is having analyst recommendation of 2.50 on scale of 1 to 5.
A cheap stock isn't a good investment if the stock is priced accurately. This is the price at which the trader or investor wants to exit his existing position so he can realize the most reward. Jefferies Group's target price would indicate a potential upside of 1.08% from the stock's previous close. Comparatively, ECR is -57.14% relative to its price target of 3.01. Different analysts and financial institutions use various valuation methods and consider different economic forces when deciding on a price target.
Trading volume is a gauge of how many times a stock is bought and sold in a given time period (most commonly, within a day of trading, known as the average daily trading volume - ADTV). Segall Bryant & Hamill LLC now owns 26,244 shares of the oil and gas exploration company's stock valued at $1,103,000 after acquiring an additional 1,469 shares during the last quarter. An increasing ROE indicates that a company is improving its ability to make profit without requiring as much capital.
Earnings Per Share Details: Growth in earnings per share is everything. RVOL compares a stock's current volume to its previous amount over a specific period.
Past 5 years growth of BP observed at -17.90%, and for the next five years the analysts that follow this company is expecting its growth at N/A. 1 analysts say it's a Hold while 0 analysts provided their expert opinion as Sell. Comparatively, BP p.l.c. posted earnings of $0.69 per share in the same quarter a year ago. (NASDAQ:EBIX) to report earnings on May, 8.
"Capital investment is progressively returning to the North Sea with the number of projects approved this year so far more than the whole of last year", she said in a statement. Business analysts often refer to net income to as the bottom line, since it is listed at the bottom of the income statement.
BP p.l.c. operates as an integrated gas and oil firm worldwide. The company's distance from 52-week high price is -6.62 percent and while the current price is 23.15 percent from 52-week low price. The longer the period of the moving average, the smoother the price movement is. For example, to calculate a basic 10-day moving average you would add up the closing prices from the past 10 days and then divide the result by 10. Developed by Donald Lambert, the CCI is a versatile tool that may be used to help spot an emerging trend or provide warning of extreme conditions. BP p.l.c. (LON:BP) has 0.00% since April 10, 2017 and is. A beta of less than 1 means that the security is theoretically less volatile than the market. ATR can display volatility of stocks, ETFs and indexes.
ATR value of company was 0.80. In this case performance of tends to percentage rate of return for a stock for a given time frame.
Several other research firms have also recently issued reports on BP. Piper Jaffray reaffirmed a "buy" rating and set a $51.00 price objective on shares of BP in a research report on Wednesday, January 24th. The present 14-day ATR for BP Plc (BP) is now standing at 0.82. A beta of less than 1 means that the security is theoretically less volatile than the market. According to today's trading volume BP p.l.c.is ABOVE its 20-Day Avg. volume with the stock showing ABOVE Abnormal volume in the past 150 days. The stock traded within a range of $42.39 and $43.00.
As of now, BP p.l.c. has a P/S, P/E and P/B values of 0.58, 32.37 and 1.4 respectively. Since the starting of the calendar year, the stock's performance is recorded at -0.64%.