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Trading Statistics:
Gold Fields Limited (NYSE: GFI) closed its previous trading session at $ 3.61 with a loss of -0.82%. The company's market capitalization is $ 2.9 billion and the average volume is $ 3.26 million. The ratio price / turnover (P / S) of the stock is 1.05, while the price / earnings ratio (price per pound) is 0.9. When looking at the volatility of the company, the weekly volatility is 2.57% while the monthly volatility is 2.42%.
Earnings Forecast:
A profit forecast is an badyst's perspective for the quarterly or annual future profits of a company. Predictions of future earnings are perhaps the most essential contribution when trying to evaluate a society.
2 badysts expect Gold Fields Limited to report earnings of $ 0.17 per share for the current quarter. The bottom end of the earnings estimate is $ 0.12, while the upper end of the earnings estimate is $ 0.23. Comparatively, GFI reported earnings of $ 0.24 per share in the same quarter a year earlier.
Revenue Forecast:
The ultimate goal of badysts when projecting revenue is to determine the appropriate value for a stock. The average expects the company to report revenues of $ 2.82 billion for the current quarter. The top end of the revenue forecast is $ 2.84 billion, while the bottom end of the forecast is $ 2.8 billion. GFI achieved a turnover of $ 2.95 billion in the same quarter a year ago.
Price Target Estimates:
Price targets show what badysts think an action will be worth after a while. The price target plays a critical role when it comes to badyzing a stock.
Analysts gave an average price target of $ 4.33 to Gold Fields Limited (NYSE: GFI)
(Based on data compiled by finviz
Simple Moving Average Analysis:
Moving average is an important badytical tool used to discover current price trends and the possibility of a change in an established trend A simple badysis of moving averages helps investors quickly identify whether a stock is trending up or down
According to data published by Finviz, the SMA20 of the stock is at 0.43%, the SMA50 is -0.35% and the SMA200 is -7.8%
Performance Analysis of the. badet (ROA):
The ratio of the ROA indicates the ratio between the profitability of a company and its total badets.The ratio of return on badets shows how much management uses the total badets of the company. 39, business to make a profit. lifted, the more efficient the management of its badets. The ROA ratio is calculated by comparing the net income to the average total badets and is expressed as a percentage.
Gold Fields Limited (NYSE: GFI) currently has an Asset Return Value (ROA) of -0, 3 percent.
Return on Investment Analysis (ROI):
Return on Investment measures the amount of return on investment relative to the cost of investment. Gold Fields Limited (NYSE: GFI) 's Return on Investment (ROI) Rate is 4.8%
ROE Analysis:
ROE is a measure of profitability that calculates business done with every dollar of stakeholder equity. A rising ROE indicates that a company is improving its ability to make profits without requiring as much capital.
Usually, the ratio of ROE between 12 and 15% is considered desirable. Gold Fields Limited's (NYSE: GFI) ROE is -0.6%, according to data compiled by Finviz
Analyst Ratings:
A stock market rating usually tells investors how much stock market value of a think is a fair value for the stock, based on an independent valuation of the company.
According to the Trends of the stock polluted by Finviz recommendation, the company has a consensus recommendation of 2.3 out of the scale of 1 to 5 where 1 is the abbreviation of Buy and 5 means Sell.
The recommendation and revisions of the badysts:
Gold Fields Limited has been covered by a number of badysts recently, 1 rated the action as Buy, 2 noted underperformance [19659003] Stock price badysis:
The purpose of an stock price badysis is to investigate the behavior of stock prices. It helps investors determine if buying, selling or keeping a stock would benefit them.
Gold Fields Limited (NYSE: GFI) stock price has fallen -3.22% over the past year, while it has decreased by -17.58% over the past year. last months. The stock gained 0.56% over the last month and has lost -16.05% since the beginning of the year. The quarterly performance of the stock represents a pessimistic dynamic of -3.22%.
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